` Comparison: 237820 vs OMC - Alpha Spread

P
237820
vs
OMC

Over the past 12 months, PlayD Co Ltd has underperformed OMC, delivering a return of -31% compared to the OMC's +4% growth.

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237820
OMC
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Valuation Comparison

PlayD Co Ltd Intrinsic Value
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OMC Intrinsic Value
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Company Last Price Intrinsic Value DCF Value Relative Value Wall St Target
P
PlayD Co Ltd
KOSDAQ:237820
4 230 KRW
Omnicom Group Inc
NYSE:OMC
85.01 USD
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Valuation Scenario:
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Growth Comparison

Growth Over Time
237820, OMC

237820
OMC
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Revenue
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Company LTM Historical Growth Growth Streak % Positive Years Max Drawdown Volatility Forecasted Growth
3 Years 5 Years 10 Years 1 Year 3 Years
P
PlayD Co Ltd
Revenue
Omnicom Group Inc
Revenue

All metrics are calculated based on data from the last 10 years.

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Profitability Comparison

Free Cash Flow
237820, OMC

237820
OMC
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Free Cash Flow
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Company LTM Average Historical Growth FCF Margin Conversion
3 Years 5 Years 3 Years 5 Years 10 Years
P
PlayD Co Ltd
KOSDAQ:237820
Omnicom Group Inc
NYSE:OMC
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What is Free Cash Flow?

Gross Margin

PlayD Co Ltd
95.4%
OMC
26.8%
LTM 3Y Avg 5Y Avg 10Y Avg
P
PlayD Co Ltd
Omnicom Group Inc

Operating Margin

PlayD Co Ltd
11.3%
OMC
15%
LTM 3Y Avg 5Y Avg 10Y Avg
P
PlayD Co Ltd
Omnicom Group Inc

Net Margin

PlayD Co Ltd
12%
OMC
-0.3%
LTM 3Y Avg 5Y Avg 10Y Avg
P
PlayD Co Ltd
Omnicom Group Inc

FCF Margin

PlayD Co Ltd
13.3%
OMC
16.1%
LTM 3Y Avg 5Y Avg 10Y Avg
P
PlayD Co Ltd
Omnicom Group Inc

ROE

PlayD Co Ltd
5.1%
OMC
-0.7%
LTM 3Y Avg 5Y Avg 10Y Avg
P
PlayD Co Ltd
Omnicom Group Inc

ROA

PlayD Co Ltd
3.2%
OMC
-0.1%
LTM 3Y Avg 5Y Avg 10Y Avg
P
PlayD Co Ltd
Omnicom Group Inc

ROIC

PlayD Co Ltd
3.7%
OMC
1.7%
LTM 3Y Avg 5Y Avg 10Y Avg
P
PlayD Co Ltd
Omnicom Group Inc

ROCE

PlayD Co Ltd
4.7%
OMC
13.5%
LTM 3Y Avg 5Y Avg 10Y Avg
P
PlayD Co Ltd
Omnicom Group Inc

Solvency Comparison

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Balance Sheet Comparison
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Stocks Performance

Stocks Performance
237820, OMC

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Performance Gap
237820, OMC

Performance Gap Between 237820 and OMC
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Performance By Year
237820, OMC

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237820
OMC
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Intrinsic Value is all-important and is the only logical way to evaluate the relative attractiveness of investments and businesses.

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