Datafin

Data-driven stock analysis platform for global investors.

Sitemap
HomeScreenerValuationSector Analysis
Resources
LibraryDatafin GuideMetric MethodologyValuation MethodologiesFAQPricingWho Is Datafin?Communication
Legal
Privacy PolicyTerms of UseCookie PolicyKVKK NoticeRefund Policy
Data Sources

Financial data sourced from official regulatory filings and verified market data providers. Metrics calculated using GAAP/IFRS standards.

Disclaimer

The analyses and visuals on this site are for informational purposes only and do not constitute investment advice.

Investment decisions involve risk. Verify data independently and consult a licensed advisor when needed.

© 2026 Datafin Financial Data Analysis Systems. All rights reserved.

Last updated: April 2026

PAPIL PEER ANALYSIS

Papilon Savunma Teknoloji ve Ticaret A.S. — metric-by-metric comparison with peers and the industry median

PAPILPapilon Savunma Teknoloji ve Ticaret A.S.

🇹🇷 Turkey · IS · Industrials · Building Products & Equipment

Value itDuel
PriceFinancialsPeers

Overall Profile & Returns

· Building Products & Equipment

Position Within Industry

0 = weak quartile, 100 = strong quartile
ValuationProfitabilityGrowthFinancial HealthDividend
PAPILIndustry median

Scores normalize each metric against industry quartiles (p25–p75); direction is inverted for lower-is-better metrics.

Return Comparison

1-Year
Split-adjusted
PAPIL-49.4%JELD-71.4%ASPN-15.3%SWIM-11.8%JBI-41.2%NX-14.6%
Year-to-Date (YTD)
PAPIL-6.8%JELD-48.4%ASPN+93.3%SWIM-2.4%JBI-19.1%NX+12.8%
1-Year
Split-adjusted
PAPIL-49.4%PNLSN+10.0%DOGUB+336.1%USAK-70.7%FORMT-41.7%SERNT+6.4%
Year-to-Date (YTD)
PAPIL-6.8%PNLSN+16.9%DOGUB+72.8%USAK-51.5%FORMT-31.7%SERNT+29.4%

Key Metric Comparison

P/E

Lower is better
PAPIL—JELD—ASPN—SWIM84.75JBI16.99NX—Median 25.96

ROE

Higher is better
PAPIL-10.5%JELD-218.8%ASPN-42.4%SWIM2.2%JBI7.9%NX-29.7%Median 8.1%

Net Margin

Higher is better
PAPIL-42.4%JELD-16.1%ASPN-48.6%SWIM1.5%JBI4.8%NX-13.9%Median 4.9%

Revenue Growth

Higher is better
PAPIL-61.0%JELD-12.1%ASPN-47.3%SWIM8.3%JBI-2.5%NX14.2%Median 5.1%

P/E

Lower is better
PAPIL—PNLSN12.02DOGUB—USAK112.30FORMT—SERNT—Median 25.96

ROE

Higher is better
PAPIL-10.5%PNLSN9.8%DOGUB-69.5%USAK0.6%FORMT-16.9%SERNT-17.7%Median 8.1%

Net Margin

Higher is better
PAPIL-42.4%PNLSN8.4%DOGUB-77.0%USAK0.6%FORMT-32.4%SERNT-43.7%Median 4.9%

Revenue Growth

Higher is better
PAPIL-61.0%PNLSN-4.5%DOGUB7.9%USAK26.6%FORMT11.8%SERNT7.2%Median 5.1%

All Metrics

Valuation
MetricPAPILJELDASPNSWIMJBINXInd. Median
P/E———84.7516.99●—25.96
P/B7.208.952.121.831.311.08●2.63
EV/EBITDA———8.273.46●—15.46
P/S28.140.03●1.971.310.820.421.52
Financial Health
MetricPAPILJELDASPNSWIMJBINXInd. Median
Current Ratio1.541.682.88●1.882.652.281.54
Debt/Equity57.7%11,548.9%60.3%8.5%1.1%●122.3%57.7%
NetDebt/EBITDA0.24-7.770.790.07-0.58-9.63●1.72
Profitability
MetricPAPILJELDASPNSWIMJBINXInd. Median
Net Margin-42.4%-16.1%-48.6%1.5%4.8%●-13.9%4.9%
ROE-10.5%-218.8%-42.4%2.2%7.9%●-29.7%8.1%
ROA-7.6%-22.6%-23.2%1.0%3.3%●-12.0%3.6%
EBITDA Margin-20.5%-5.5%-25.8%16.0%20.3%●-4.6%12.2%
Growth + Dividend
MetricPAPILJELDASPNSWIMJBINXInd. Median
Rev. Growth-61.0%-12.1%-47.3%8.3%-2.5%14.2%●5.1%
NI Growth————-14.5%—-5.3%
Div. Yield0.0%————1.8%●0.8%
Payout0.0%————-5.7%13.5%
Valuation
MetricPAPILPNLSNDOGUBUSAKFORMTSERNTInd. Median
P/E—12.02●—112.30——25.96
P/B7.201.0155.970.55●1.050.942.63
EV/EBITDA—6.95●—11.66—15.4615.46
P/S28.141.0150.080.69●2.512.341.52
Financial Health
MetricPAPILPNLSNDOGUBUSAKFORMTSERNTInd. Median
Current Ratio1.541.220.461.111.68●1.441.54
Debt/Equity57.7%9.3%0.0%●35.8%7.9%111.6%57.7%
NetDebt/EBITDA0.24-0.430.344.25-1.26●8.341.72
Profitability
MetricPAPILPNLSNDOGUBUSAKFORMTSERNTInd. Median
Net Margin-42.4%8.4%●-77.0%0.6%-32.4%-43.7%4.9%
ROE-10.5%9.8%●-69.5%0.6%-16.9%-17.7%8.1%
ROA-7.6%5.9%●-29.8%0.3%-11.5%-6.3%3.6%
EBITDA Margin-20.5%13.7%-63.4%9.4%-8.4%32.8%●12.2%
Growth + Dividend
MetricPAPILPNLSNDOGUBUSAKFORMTSERNTInd. Median
Rev. Growth-61.0%-4.5%7.9%26.6%●11.8%7.2%5.1%
NI Growth—3,961.9%————-5.3%
Div. Yield0.0%0.4%●0.0%0.0%0.0%0.0%0.8%
Payout0.0%5.1%0.0%0.0%0.0%0.0%13.5%

The green dot marks the best value in the group given the metric direction (higher/lower is better). All metrics use trailing-twelve-month (TTM) data.

Go deeper on PAPIL

Run a DCF valuation

Full DCF model with editable assumptions

Start a head-to-head duel

Compare two stocks metric by metric

Filter in the stock screener

Build your own universe with 400+ metrics

Data on this page refreshes once per day. Price data as of Jul 3, 26. This content is for informational purposes only and is not investment advice.