SGRP vs SYTA
Comparison between Spar Group Inc (SGRP, Company) and Siyata Mobile Inc (SYTA, Company).
SGRP is from the Industrials sector, while SYTA is from the Technology sector.
5-Year PerformanceSGRP has outperformed SYTA, delivering a return of -9.4% compared to -91.2%
SGRP vs SYTA - Performance Comparison
Key Characteristics
Financial metrics and valuation ratios
SGRP vs SYTA - Historical Returns
Returns include dividend reinvestment.
SGRP vs SYTA - Annual Returns (1999 - 2026)
Returns include dividend reinvestment.
| Year | SGRP | SYTA |
|---|---|---|
| 2026 | -6.73% | N/A |
| 2025 | -59.85% | -48.40% |
| 2024 | +92.08% | -99.25% |
| 2023 | -17.21% | -96.24% |
| 2022 | +2.36% | -95.90% |
| 2021 | +16.04% | -66.06% |
| 2020 | -8.73% | -72.31% |
| 2019 | +136.62% | -20.04% |
| 2018 | -57.80% | -30.32% |
| 2017 | +14.95% | -20.36% |
| 2016 | -3.85% | N/A |
| 2015 | -25.00% | N/A |
| 2014 | -24.73% | N/A |
| 2013 | +16.47% | N/A |
| 2012 | +74.00% | N/A |
| 2011 | +5.26% | N/A |
| 2010 | +3.75% | N/A |
| 2009 | +6.67% | N/A |
| 2008 | +1.35% | N/A |
| 2007 | -37.27% | N/A |
| 2006 | +31.18% | N/A |
| 2005 | -11.75% | N/A |
| 2004 | -67.09% | N/A |
| 2003 | +1.27% | N/A |
| 2002 | +55.39% | N/A |
| 2001 | +120.31% | N/A |
| 2000 | -75.93% | N/A |
| 1999 | -18.18% | N/A |
SGRP vs SYTA Drawdown Comparison
The maximum drawdown for SGRP was -95.62%, occurring on Dec 28, 2000. Recovery took 868 trading sessions.
The maximum drawdown for SYTA was -100.00%, occurring on May 8, 2025. This drawdown has not yet recovered.
The current SGRP drawdown is -84.91%. The current SYTA drawdown is -100.00%.
| Rank | SGRP | SYTA |
|---|---|---|
| #1 | -95.62% Dec 10, 1999 - May 29, 2003 | -100.00% Oct 9, 2017 - May 8, 2025 |
| #2 | -94.00% Jun 11, 2003 - Oct 14, 2008 | -5.91% Oct 2, 2017 - Oct 6, 2017 |
| #3 | -30.87% Nov 4, 1999 - Nov 26, 1999 | N/A |
| #4 | -8.33% Nov 26, 1999 - Dec 10, 1999 | N/A |
| #5 | -2.33% May 30, 2003 - Jun 3, 2003 | N/A |
| #6 | -0.37% Jun 5, 2003 - Jun 9, 2003 | N/A |
Correlation
Correlation between SGRP and SYTA is -0.39 which considered as a weak negative correlation - the stocks show a slight tendency to move in opposite directions.
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