These metrics indicate whether the stock trades cheaply or expensively relative to its fundamentals. Value investors use them to find mispricings—buying stocks that appear undervalued, with solid long-term prospects and limited downside risk.
94.93
P/E above 1.5x PGN.DE's 3.11. Jim Chanos would check for potential multiple compression risks.
1.38
P/S above 1.5x PGN.DE's 0.82. Michael Burry would check for mean reversion risks.
3.07
P/B less than half of PGN.DE's 9.85. David Dodd would verify if asset quality justifies this discount.
4.59
Positive FCF while PGN.DE shows negative FCF. John Neff would investigate cash generation advantage.
4.58
Similar P/OCF to PGN.DE's 5.08. Walter Schloss would investigate if similar multiples reflect similar business quality.
3.07
Fair value ratio less than half of PGN.DE's 9.85. David Dodd would verify if competitive position justifies this discount.
0.26%
Earnings yield below 50% of PGN.DE's 8.05%. Michael Burry would check for earnings deterioration risks.
21.77%
Positive FCF while PGN.DE shows negative FCF. John Neff would investigate cash generation advantage.
1.14 - 1.17
1.10 - 1.60
14.0K / 2.1K (Avg.)
-9.00 | -0.13