StockComparison Logo
vs

ROL vs SYF

Comparison between Rollins Inc (ROL, Company) and Synchrony Financial (SYF, Company).

ROL is from the Consumer Cyclical sector, while SYF is from the Financial Services sector.

5-Year PerformanceSYF has outperformed ROL, delivering a return of +9.7% compared to +8.6%

ROL vs SYF - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
ROL
$24B
Winner
SYF
$24B
Max Drawdown
Winner
ROL
38.07%
SYF
68.17%
Sharpe Ratio
ROL
-0.85
Winner
SYF
0.77
5Y Beta
Winner
ROL
0.30
SYF
1.49
Industry
ROL
Personal Services
SYF
Credit Services
P/E Ratio
ROL
45.99
Winner
SYF
7.11
Forward P/E
ROL
36.63
Winner
SYF
7.62
PEG Ratio
ROL
4.12
Winner
SYF
0.22
Dividend Yield
ROL
1.49%
Winner
SYF
1.70%
5Y Dividends CAGR
Winner
ROL
19.96%
SYF
11.26%
5Y EPS CAGR
ROL
11.25%
Winner
SYF
22.71%
Debt to Equity
Winner
ROL
47.08%
SYF
99.70%
Free Cash Flow Yield
ROL
2.56%
Winner
SYF
40.48%
P/S Ratio
ROL
6.31
Winner
SYF
2.45
P/B Ratio
ROL
17.56
Winner
SYF
1.59

ROL vs SYF - Historical Returns

Returns include dividend reinvestment.

1M
ROL
-12.65%
Winner
SYF
-3.98%
3M
ROL
-18.75%
Winner
SYF
+3.13%
6M
ROL
-22.79%
Winner
SYF
-11.13%
1Y
ROL
-17.53%
Winner
SYF
+25.34%
5Y(CAGR)
ROL
+8.65%
Winner
SYF
+9.72%
10Y(CAGR)
Winner
ROL
+15.32%
SYF
+11.20%
Max(CAGR)
Winner
ROL
+17.47%
SYF
+12.17%

ROL vs SYF - Annual Returns (1999 - 2026)

Returns include dividend reinvestment.

YearROLSYF
2026-19.66%-15.64%
2025+31.95%+30.12%
2024+8.54%+75.06%
2023+21.16%+21.52%
2022+10.06%-28.37%
2021-9.51%+38.67%
2020+77.57%-0.52%
2019-6.10%+52.21%
2018+17.32%-38.20%
2017+40.83%+6.04%
2016+35.46%+22.27%
2015+21.69%+3.15%
2014+14.03%+29.35%
2013+34.98%N/A
2012+0.79%N/A
2011+12.82%N/A
2010+53.58%N/A
2009+9.46%N/A
2008-2.80%N/A
2007+29.99%N/A
2006+10.26%N/A
2005+14.84%N/A
2004+16.36%N/A
2003+26.46%N/A
2002+29.43%N/A
2001+5.36%N/A
2000+33.76%N/A
1999-4.47%N/A

ROL vs SYF Drawdown Comparison

The maximum drawdown for ROL was -37.38%, occurring on Oct 15, 2008. Recovery took 538 trading sessions.

The maximum drawdown for SYF was -66.35%, occurring on Mar 23, 2020. Recovery took 746 trading sessions.

The current ROL drawdown is -27.73%. The current SYF drawdown is -19.28%.

RankROLSYF
#1-37.38%
Dec 24, 2007 - Feb 12, 2010
-66.35%
Jan 26, 2018 - Jan 13, 2021
#2-31.77%
May 15, 2003 - Jan 12, 2004
-46.65%
Oct 19, 2021 - Jul 11, 2024
#3-30.89%
Feb 11, 2026 - Jun 2, 2026
-37.74%
Jan 24, 2025 - Jul 3, 2025
#4-30.88%
Nov 16, 1999 - Oct 23, 2000
-35.09%
Jul 20, 2015 - Dec 6, 2016
#5-30.85%
Dec 11, 2000 - Oct 21, 2002
-29.56%
Jan 4, 2017 - Dec 4, 2017
#6-30.29%
Nov 5, 2020 - Oct 28, 2022
-27.62%
Jan 6, 2026 - Mar 13, 2026
#7-27.50%
Apr 23, 2019 - Jun 3, 2020
-15.70%
Jul 17, 2024 - Oct 9, 2024
#8-26.33%
Jul 25, 2023 - Mar 4, 2024
-15.69%
Jan 20, 2021 - Feb 24, 2021
#9-21.51%
Jul 7, 2011 - Oct 26, 2011
-12.07%
Aug 27, 2021 - Oct 19, 2021
#10-20.82%
Sep 18, 2018 - Apr 12, 2019
-11.81%
Jun 8, 2021 - Aug 11, 2021
#11-20.12%
Aug 17, 2015 - Oct 26, 2016
-11.50%
Sep 4, 2025 - Nov 26, 2025
#12-19.61%
Apr 7, 2004 - Oct 27, 2004
-11.45%
Feb 12, 2015 - Jul 14, 2015
#13-18.33%
Nov 18, 2022 - May 10, 2023
-10.06%
Mar 17, 2021 - Apr 12, 2021
#14-16.65%
Oct 27, 2011 - Jul 18, 2012
-8.30%
Apr 12, 2021 - Apr 29, 2021
#15-14.95%
Jul 28, 2005 - Aug 16, 2006
-7.37%
Jul 25, 2025 - Aug 13, 2025

Correlation

Correlation between ROL and SYF is 0.83 which considered as a strong positive correlation - the stocks tend to move together.

0.83
-101

Dividend Comparison (1999 - 2026)

ROL vs SYF dividend yield comparison.

YearROLSYF
20260.77%0.85%
20251.13%1.38%
20241.33%1.54%
20231.24%2.51%
20221.18%2.74%
20211.23%1.90%
20200.84%2.54%
20191.42%2.39%
20181.03%3.07%
20171.20%1.45%
20161.18%0.72%
20151.62%0.00%
20141.57%0.00%
20131.19%0.00%
20122.00%0.00%
20111.26%0.00%
20101.22%0.00%
20091.45%0.00%
20081.38%0.00%
20071.04%0.00%
20061.12%0.00%
20051.02%0.00%
20040.92%0.00%
20030.89%0.00%
20020.78%0.00%
20010.99%0.00%
20000.99%0.00%
19990.33%0.00%

Select Stocks to Compare