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PLAG vs BLIV

Comparison between Planet Green Holdings Corp (PLAG, Company) and BeLive Holdings (BLIV, Company).

PLAG is from the Industrials sector, while BLIV is from the Technology sector.

PLAG vs BLIV - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
PLAG
$25M
Winner
BLIV
$25M
Max Drawdown
PLAG
99.98%
Winner
BLIV
68.44%
Sharpe Ratio
Winner
PLAG
0.63
BLIV
-0.28
5Y Beta
Winner
PLAG
1.57
BLIV
3.83
Industry
PLAG
Conglomerates
BLIV
Software - Application
P/E Ratio
PLAG
-0.65
Winner
BLIV
-4.80
Forward P/E
PLAG
1.33
BLIV
N/A
PEG Ratio
PLAG
-0.00
Winner
BLIV
-0.15
5Y EPS CAGR
PLAG
-35.01%
BLIV
N/A
Debt to Equity
Winner
PLAG
0.00%
BLIV
0.49%
Free Cash Flow Yield
Winner
PLAG
12.60%
BLIV
-11.53%
P/S Ratio
Winner
PLAG
8.19
BLIV
33.00
P/B Ratio
Winner
PLAG
1.27
BLIV
3.68

PLAG vs BLIV - Historical Returns

Returns include dividend reinvestment.

1M
PLAG
-5.37%
Winner
BLIV
+2.58%
3M
PLAG
-36.92%
Winner
BLIV
-4.42%
6M
Winner
PLAG
-21.44%
BLIV
-30.72%
1Y
Winner
PLAG
-29.13%
BLIV
-37.76%
5Y(CAGR)
PLAG
-37.28%
BLIV
N/A
10Y(CAGR)
PLAG
-40.36%
BLIV
N/A
Max(CAGR)
PLAG
-34.68%
Winner
BLIV
-27.99%

PLAG vs BLIV - Annual Returns (2008 - 2026)

Returns include dividend reinvestment.

YearPLAGBLIV
2026-30.61%-27.36%
2025-12.40%+1.13%
2024-47.15%N/A
2023-19.82%N/A
2022-39.81%N/A
2021-52.56%N/A
2020-14.23%N/A
2019+8.62%N/A
2018-46.94%N/A
2017-67.41%N/A
2016-55.00%N/A
2015+22.00%N/A
2014+21.79%N/A
2013-38.28%N/A
2012-26.43%N/A
2011-38.46%N/A
2010-12.42%N/A
2009+185.05%N/A
2008-93.00%N/A

PLAG vs BLIV Drawdown Comparison

The maximum drawdown for PLAG was -99.98%, occurring on Jun 17, 2025. This drawdown has not yet recovered.

The maximum drawdown for BLIV was -68.44%, occurring on Jul 29, 2025. This drawdown has not yet recovered.

The current PLAG drawdown is -99.96%. The current BLIV drawdown is -62.66%.

RankPLAGBLIV
#1-99.98%
Apr 29, 2008 - Jun 17, 2025
-68.44%
Apr 9, 2025 - Jul 29, 2025
#2N/A-12.43%
Apr 4, 2025 - Apr 9, 2025

Correlation

Correlation between PLAG and BLIV is 0.14 which considered as a very weak or no correlation - the stocks move independently of each other.

0.14
-101

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