CVSACovista Inc.vs its industry peers
A metric-by-metric comparison of Covista Inc. against Services-Educational Services — valuation, growth, profitability, quality and total return, with each figure's rank within the peer group. Every value is Go-computed from SEC filings and delayed prices; ranks are sorted positions within the group only — descriptive, not advice.
| 기업 | Market cap | P/E (TTM) | P/B | P/S | Revenue growth (YoY) | Earnings growth (YoY) | EBIT margin | ROE | ROIC | Piotroski F | 1y total return | Dividend yield |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| CVSA본 종목 | $4.6B#2 | 19.1x#9 | 3.2x#9 | 2.3x#11 | 9.3%#5 | 6.1%#10 | 19.6%#4 | 17.4%#4 | 17.4%#6 | — | 0.1%#6 | — |
| LAUR | $5.0B#1 | 16.4x#5 | 4.4x#13 | 2.9x#13 | 8.6%#6 | -5.0%#12 | 25.3%#1 | 24.7%#1 | 26.6%#3 | — | 29.3%#2 | — |
| LOPE | $3.9B#3 | 18.1x#7 | 5.8x#14 | 3.5x#14 | 7.1%#7 | -4.4%#11 | 24.0%#2 | 0.0%#10 | 33.9%#1 | — | -26.9%#9 | — |
| LRN | $3.5B#4 | 11.9x#2 | 2.2x#6 | 1.4x#7 | 4.7%#8 | 17.5%#6 | 17.9%#5 | 20.7%#2 | 26.7%#2 | 7#1 | -46.7%#10 | — |
| PRDO | $2.1B#5 | 12.0x#3 | 2.0x#5 | 2.4x#12 | 24.2%#2 | 8.3%#9 | 23.2%#3 | 15.5%#5 | 21.6%#5 | — | 1.6%#5 | 0.7%#2 |
| STRA | $1.8B#6 | 13.7x#4 | 1.1x#4 | 1.4x#8 | 4.0%#9 | 12.4%#8 | 13.7%#7 | 7.8%#9 | 8.2%#10 | — | 2.2%#4 | 3.2%#1 |
| UTI | $1.2B#7 | 34.3x#11 | 3.3x#11 | 1.4x#6 | 14.0%#4 | 50.0%#4 | 10.0%#8 | 18.3%#3 | 16.7%#8 | — | -24.0%#8 | — |
| PXED | $1.1B#8 | — | 3.3x#10 | — | — | — | — | 0.0%#11 | — | — | — | — |
| APEI | $837M#9 | 18.8x#8 | 2.7x#7 | 1.3x#4 | 3.9%#10 | 95.8%#2 | 7.4%#9 | 10.0%#7 | 17.0%#7 | — | 61.9%#1 | — |
| LINC | $785M#10 | 33.9x#10 | 3.9x#12 | 1.5x#9 | 17.8%#3 | 102.2%#1 | 5.8%#10 | 9.9%#8 | 12.6%#9 | — | 25.9%#3 | — |
| LGCY | $135M#11 | 17.8x#6 | 2.7x#8 | 2.1x#10 | 39.5%#1 | 47.3%#5 | 15.6%#6 | 15.2%#6 | 24.0%#4 | — | -9.6%#7 | 0.7%#3 |
| CHGG | $92M#12 | — | 0.8x#3 | 0.2x#3 | -39.0%#14 | 87.7%#3 | -31.0%#12 | -86.8%#14 | — | — | -48.1%#11 | — |
| KIDZ | $4M#14 | — | 0.4x#2 | 1.3x#5 | -8.4%#11 | -735.6%#13 | -106.7%#13 | -70.8%#12 | — | — | -100.0%#15 | — |
| BOXL | $4M#15 | 0.1x#1 | — | 0.0x#2 | -19.6%#13 | 16.0%#7 | -15.0%#11 | — | -124.5%#11 | — | -89.6%#13 | — |
| KIDZW | $8223#16 | — | 0.0x#1 | 0.0x#1 | -8.4%#11 | -735.6%#13 | -106.7%#13 | -70.8%#12 | — | — | -92.2%#14 | — |
| AACG | $63M#13 | — | — | — | — | — | — | — | — | — | -53.7%#12 | — |
Peer set: US filers sharing this company's SEC industry classification (SIC 8200). SIC is coarse — conglomerates and multi-segment companies map imperfectly. Values from SEC filings + delayed prices; ranks are within-group positions only. Market cap, P/E, P/B, P/S, 1y total return and dividend yield are computed from each member's latest snapshot price when the table is built (see as-of; snapshot prices can lag) — not live. Table built 2026-09-03.
Source: SEC XBRL filings + delayed prices · ranks are within-group positions · For reference only · Not investment advice