Poplar vs Quaker Chemical Which Is a Smarter Choice?
Poplar vs Quaker Chemical stocks have been two prominent players in the chemical industry, each with a unique positioning in the market. Poplar Corporation, known for its innovative products and sustainable practices, has shown steady growth and a strong financial performance in recent years. On the other hand, Quaker Chemical, a well-established player with a global presence, has consistently delivered solid returns to its shareholders. Both companies have their strengths and weaknesses, making them attractive investment options for different types of investors.
Poplar or Quaker Chemical?
When comparing Poplar and Quaker Chemical, different investors may prioritize various metrics based on their investment strategies and goals. So, ask yourself what type of investor you are. This will guide you in determining which metrics are most important for your investment decision between Poplar and Quaker Chemical.
Dividend Investors:
Dividend investors look for stable and growing income streams, using dividend metrics to assess potential investments. A company's dividend yield essentially measures the size of its dividend relative to the total market value of the company.
Poplar has a dividend yield of -%, while Quaker Chemical has a dividend yield of 1.36%. Beyond the yield itself, considering the growth and sustainability of these dividends is also crucial. Poplar reports a 5-year dividend growth of 0.00% year and a payout ratio of 0.00%. On the other hand, Quaker Chemical reports a 5-year dividend growth of 3.95% year and a payout ratio of 26.69%.
Value Investors:
Value investors focus on financial metrics to determine a stock's intrinsic value compared to its market value. The Price-to-Earnings (P/E) Ratio links stock price to a company's earnings per share, with Poplar P/E ratio at 6.15 and Quaker Chemical's P/E ratio at 24.98. Another crucial valuation metric is the Price-to-Book (P/B) Ratio, which compares stock price with book value per share. Poplar P/B ratio is 3.78 while Quaker Chemical's P/B ratio is 2.12.
Growth Investors:
Growth investors prioritize metrics indicative of a company's expansion potential. Focusing on top-line growth, Poplar has seen a 5-year revenue growth of -0.53%, while Quaker Chemical's is 0.67%. Return on Equity (ROE) measures how effectively a company uses equity investment to generate earnings, with Poplar's ROE at 80.48% and Quaker Chemical's ROE at 8.73%.
Retail Investors:
Retail investors often consider stock affordability and company familiarity. For example, day low prices are ¥219.00 for Poplar and $170.51 for Quaker Chemical. Over the past year, Poplar's prices ranged from ¥166.00 to ¥415.00, with a yearly change of 150.00%. Quaker Chemical's prices fluctuated between $151.31 and $221.94, with a yearly change of 46.68%. Brand recognition also plays a role, as familiarity with a company can influence investment decisions.