Contrasting Nova (NASDAQ:NVMI) and Mobix Labs (NASDAQ:MOBX)
Defense World·2025-11-23 07:38

Core Insights - Nova is significantly outperforming Mobix Labs across various financial metrics, indicating a stronger business position overall [10] Profitability - Nova has a net margin of 29.10%, return on equity of 24.36%, and return on assets of 16.66% - In contrast, Mobix Labs shows a net margin of -381.82%, return on equity of -5,149.05%, and return on assets of -113.77% [2] Volatility & Risk - Nova has a beta of 1.79, indicating its stock is 79% more volatile than the S&P 500 - Mobix Labs has a beta of -0.14, suggesting its stock is 114% less volatile than the S&P 500 [3] Analyst Ratings - Nova has no sell ratings, 2 hold ratings, 5 buy ratings, and a rating score of 2.71 - Mobix Labs has 1 sell rating and a rating score of 1.00, indicating a less favorable outlook [5][6] Institutional and Insider Ownership - 83.0% of Nova shares are held by institutional investors, while only 8.6% of Mobix Labs shares are held by institutional investors - 1.0% of Nova shares are held by company insiders compared to 32.0% for Mobix Labs [7] Earnings & Valuation - Nova's gross revenue is $852.72 million with a price/sales ratio of 9.67, while Mobix Labs has gross revenue of $6.44 million with a price/sales ratio of 4.33 - Nova's net income is $183.76 million with earnings per share of $7.65, whereas Mobix Labs has a net loss of $20.03 million and earnings per share of -$1.10 [9]