尽管安普利在金融指标上落后于主要竞争对手,但其股票波动性较低,估值更高.
Amplifon trails key competitors in financial metrics, though it has lower stock volatility and higher valuation.
Amblifon是听力解决方案的提供者,在13个关键金融指标中,9个主要竞争者表现优于9个,其中包括更高的收入、收益和利润率。
Amplifon, a hearing solutions provider, is outperformed by its nine major competitors in nine out of thirteen key financial metrics, including higher revenue, earnings, and profitability.
虽然安普利的股票波动性较小 (0.53贝塔),但价格与收益比较高,使其比其他公司更昂贵.
Amplifon's stock is less volatile (0.53 beta) but trades at a higher price-to-earnings ratio, making it more expensive than peers.
竞争者拥有更强大的体制和内部所有权,表明长期增长前景较好。
Competitors have stronger institutional and insider ownership, suggesting better long-term growth prospects.