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SCL vs TWO

Comparison between Stepan Company (SCL, Company) and Two Harbors Investment Corp (TWO, Company).

SCL is from the Basic Materials sector, while TWO is from the Real Estate sector.

5-Year PerformanceTWO has outperformed SCL, delivering a return of -3.6% compared to -12.5%

SCL vs TWO - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
SCL
$1.27B
Winner
TWO
$1.27B
Max Drawdown
Winner
SCL
69.33%
TWO
92.02%
Sharpe Ratio
SCL
0.06
Winner
TWO
0.82
5Y Beta
SCL
0.96
Winner
TWO
0.59
Industry
SCL
Specialty Chemicals
TWO
Reit - Mortgage
P/E Ratio
SCL
2430.48
Winner
TWO
-3.66
Forward P/E
SCL
21.93
Winner
TWO
10.68
Dividend Yield
SCL
2.74%
Winner
TWO
11.70%
5Y Dividends CAGR
Winner
SCL
5.70%
TWO
-7.61%
5Y EPS CAGR
SCL
-65.69%
TWO
N/A
Debt to Equity
Winner
SCL
54.63%
TWO
478.53%
Free Cash Flow Yield
Winner
SCL
2.94%
TWO
2.65%

SCL vs TWO - Historical Returns

Returns include dividend reinvestment.

1M
Winner
SCL
+7.51%
TWO
+0.40%
3M
SCL
+8.06%
Winner
TWO
+13.13%
6M
SCL
+11.13%
Winner
TWO
+16.91%
1Y
SCL
-3.59%
Winner
TWO
+31.53%
5Y(CAGR)
SCL
-12.50%
Winner
TWO
-3.56%
10Y(CAGR)
Winner
SCL
+0.85%
TWO
-3.76%
Max(CAGR)
Winner
SCL
+8.21%
TWO
+2.42%

SCL vs TWO - Annual Returns (1999 - 2026)

Returns include dividend reinvestment.

YearSCLTWO
2026+19.04%+24.84%
2025-22.75%+1.39%
2024-29.48%-2.38%
2023-7.75%-0.24%
2022-12.77%-25.38%
2021+3.69%+3.15%
2020+15.69%-52.49%
2019+39.84%+27.18%
2018-6.20%-9.54%
2017-1.14%+13.91%
2016+73.31%+18.53%
2015+26.22%-11.36%
2014-37.62%+17.20%
2013+18.33%-10.10%
2012+41.78%+39.18%
2011+5.32%+15.17%
2010+15.49%+17.22%
2009+41.39%+3.87%
2008+53.01%N/A
2007+7.15%N/A
2006+18.77%N/A
2005+15.55%N/A
2004-2.23%N/A
2003+5.01%N/A
2002+2.45%N/A
2001+11.91%N/A
2000+5.75%N/A
1999-1.43%N/A

SCL vs TWO Drawdown Comparison

The maximum drawdown for SCL was -66.77%, occurring on Nov 4, 2025. This drawdown has not yet recovered.

The maximum drawdown for TWO was -84.71%, occurring on Apr 3, 2020. This drawdown has not yet recovered.

The current SCL drawdown is -55.53%. The current TWO drawdown is -56.28%.

RankSCLTWO
#1-66.77%
May 6, 2021 - Nov 4, 2025
-84.71%
Feb 20, 2020 - Apr 3, 2020
#2-60.98%
Aug 14, 2008 - Sep 10, 2009
-31.39%
Mar 26, 2013 - Feb 16, 2017
#3-43.86%
Dec 23, 2013 - Jul 21, 2016
-21.96%
Oct 5, 2017 - Nov 8, 2019
#4-32.15%
Jan 13, 2020 - Jul 23, 2020
-20.98%
Jul 6, 2011 - Feb 17, 2012
#5-31.96%
Jul 13, 2001 - Mar 8, 2002
-16.18%
Oct 8, 2012 - Jan 2, 2013
#6-30.85%
Apr 29, 2010 - Jul 27, 2011
-13.53%
Jan 4, 2010 - Sep 13, 2010
#7-30.20%
Jan 13, 2010 - Apr 20, 2010
-9.39%
Oct 30, 2009 - Dec 8, 2009
#8-25.43%
Jul 5, 2000 - Jan 18, 2001
-7.76%
Mar 9, 2011 - May 19, 2011
#9-25.18%
Aug 7, 2002 - Sep 6, 2005
-5.83%
Jun 19, 2017 - Aug 31, 2017
#10-24.63%
Jul 25, 2017 - Feb 13, 2019
-4.86%
Apr 27, 2012 - Jun 13, 2012
#11-21.41%
Jul 10, 2006 - Jul 19, 2007
-4.55%
Apr 27, 2017 - Jun 1, 2017
#12-18.09%
Dec 9, 2016 - Apr 25, 2017
-4.05%
May 19, 2011 - Jun 22, 2011
#13-18.01%
Mar 15, 2013 - Dec 6, 2013
-4.04%
Dec 8, 2009 - Dec 30, 2009
#14-17.97%
Dec 24, 2007 - Feb 27, 2008
-3.91%
Feb 19, 2013 - Feb 28, 2013
#15-17.96%
Jul 28, 2011 - Oct 27, 2011
-3.66%
Dec 13, 2010 - Dec 30, 2010

Correlation

Correlation between SCL and TWO is 0.08 which considered as a very weak or no correlation - the stocks move independently of each other.

0.08
-101

Dividend Comparison (1999 - 2026)

SCL vs TWO dividend yield comparison.

YearSCLTWO
20261.43%8.45%
20253.27%15.52%
20242.33%15.22%
20231.55%15.08%
20221.63%12.94%
20211.01%11.79%
20200.95%7.85%
20191.00%11.42%
20181.25%14.64%
20171.06%23.31%
20160.95%10.67%
20151.47%12.84%
20141.72%10.38%
20130.99%12.61%
20124.50%15.43%
20111.32%21.32%
20101.28%15.12%
20091.39%2.65%
20081.81%0.00%
20072.54%0.00%
20062.54%0.00%
20052.92%0.00%
20043.17%0.00%
20032.97%0.00%
20022.95%0.00%
20013.00%0.00%
20002.79%0.00%
19990.68%0.00%

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