ORNBV.HE vs. AGI.TO
ORNBV.HE (Orion Oyj) and AGI.TO (Alamos Gold Inc.) are both stocks. ORNBV.HE operates in Drug Manufacturers - General (Healthcare), while AGI.TO operates in Gold (Basic Materials). Over the past 10 years, ORNBV.HE returned 11.37%/yr vs 16.81%/yr for AGI.TO. At a 0.02 correlation, their price movements are largely independent.
Performance
ORNBV.HE vs. AGI.TO - Performance Comparison
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Different Trading Currencies
ORNBV.HE is traded in EUR, while AGI.TO is traded in CAD. To make them comparable, the AGI.TO values have been converted to EUR using the latest available exchange rates.
Returns By Period
In the year-to-date period, ORNBV.HE achieves a 8.85% return, which is significantly higher than AGI.TO's -7.54% return. Over the past 10 years, ORNBV.HE has underperformed AGI.TO with an annualized return of 11.37%, while AGI.TO has yielded a comparatively higher 16.81% annualized return.
ORNBV.HE
- 1D
- -0.65%
- 1M
- 1.48%
- YTD
- 8.85%
- 6M
- 15.37%
- 1Y
- 10.78%
- 3Y*
- 22.80%
- 5Y*
- 16.06%
- 10Y*
- 11.37%
AGI.TO
- 1D
- 1.99%
- 1M
- -18.33%
- YTD
- -7.54%
- 6M
- -7.03%
- 1Y
- 29.04%
- 3Y*
- 39.29%
- 5Y*
- 34.01%
- 10Y*
- 16.81%
ORNBV.HE vs. AGI.TO - Yearly Performance Comparison
| 2026 (YTD) | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | |
|---|---|---|---|---|---|---|---|---|---|---|
ORNBV.HE Orion Oyj | 8.85% | 52.85% | 13.41% | -20.40% | 45.41% | 1.67% | -6.16% | 42.49% | 2.81% | -26.22% |
AGI.TO Alamos Gold Inc. | -7.45% | 85.19% | 47.14% | 30.41% | 42.18% | -4.96% | 34.77% | 71.00% | -41.93% | -16.59% |
Correlation
The correlation between ORNBV.HE and AGI.TO is 0.09, meaning there is essentially no relationship between their price movements. Each responds to its own set of market drivers, making them strong candidates for combining in a diversified portfolio.
| Correlation | |
|---|---|
Correlation (1Y) Calculated over the trailing 1-year period | 0.09 |
Correlation (3Y) Calculated over the trailing 3-year period | 0.08 |
Correlation (5Y) Calculated over the trailing 5-year period | 0.07 |
Correlation (10Y) Calculated over the trailing 10-year period | 0.04 |
Correlation (All Time) Calculated using the full available price history since Sep 5, 2007 | 0.02 |
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Return for Risk
ORNBV.HE vs. AGI.TO — Risk / Return Rank
ORNBV.HE
AGI.TO
ORNBV.HE vs. AGI.TO - Risk-Adjusted Trends Comparison
This table presents a comparison of risk-adjusted performance metrics for Orion Oyj (ORNBV.HE) and Alamos Gold Inc. (AGI.TO). Risk-adjusted metrics are performance indicators that assess an investment's returns in relation to its risk, enabling a more accurate comparison of different investment options.
Values are calculated on a 1-year rolling basis and updated daily. Risk-adjusted metrics are more stable over longer periods — use the period switch above to explore them.
| ORNBV.HE | AGI.TO | Difference | |
|---|---|---|---|
| Sharpe ratioReturn per unit of total volatility | -0.28 | ||
| Sortino ratioReturn per unit of downside risk | -0.43 | ||
| Omega ratioGain probability vs. loss probability | 1.10 | 1.14 | -0.04 |
| Calmar ratioReturn relative to maximum drawdown | 0.50 | 0.74 | -0.24 |
| Martin ratioReturn relative to average drawdown | 1.20 | 2.11 | -0.92 |
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Drawdowns
ORNBV.HE vs. AGI.TO - Drawdown Comparison
The maximum ORNBV.HE drawdown since its inception was -58.91%, smaller than the maximum AGI.TO drawdown of -85.73%. Use the drawdown chart below to compare losses from any high point for ORNBV.HE and AGI.TO.
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Drawdown Indicators
| ORNBV.HE | AGI.TO | Difference | |
|---|---|---|---|
Max DrawdownLargest peak-to-trough decline | -58.91% | -85.73% | +26.82% |
Max Drawdown (1Y)Largest decline over 1 year | -19.41% | -39.64% | +20.23% |
Max Drawdown (3Y)Largest decline over 3 years | -26.34% | -39.64% | +13.30% |
Max Drawdown (5Y)Largest decline over 5 years | -36.88% | -39.64% | +2.76% |
Max Drawdown (10Y)Largest decline over 10 years | -58.91% | -71.86% | +12.95% |
Current DrawdownCurrent decline from peak | -9.05% | -35.66% | +26.61% |
Average DrawdownAverage peak-to-trough decline | -17.80% | -36.69% | +18.89% |
Ulcer IndexDepth and duration of drawdowns from previous peaks | 8.02% | 13.77% | -5.75% |
Volatility
ORNBV.HE vs. AGI.TO - Volatility Comparison
The current volatility for Orion Oyj (ORNBV.HE) is 7.86%, while Alamos Gold Inc. (AGI.TO) has a volatility of 16.58%. This indicates that ORNBV.HE experiences smaller price fluctuations and is considered to be less risky than AGI.TO based on this measure. The chart below showcases a comparison of their rolling one-month volatility.
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Volatility by Period
| ORNBV.HE | AGI.TO | Difference | |
|---|---|---|---|
Volatility (1M)Calculated over the trailing 1-month period | 7.86% | 16.58% | -8.72% |
Volatility (6M)Calculated over the trailing 6-month period | 23.42% | 40.15% | -16.73% |
Volatility (1Y)Calculated over the trailing 1-year period | 30.76% | 49.17% | -18.41% |
Volatility (5Y)Calculated over the trailing 5-year period, annualized | 28.55% | 38.13% | -9.58% |
Volatility (10Y)Calculated over the trailing 10-year period, annualized | 28.81% | 45.93% | -17.12% |
Dividends
ORNBV.HE vs. AGI.TO - Dividend Comparison
ORNBV.HE's dividend yield for the trailing twelve months is around 2.52%, more than AGI.TO's 0.37% yield.
| Position | TTM | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
AGI.TO Alamos Gold Inc. | 0.37% | 0.26% | 0.52% | 0.76% | 0.91% | 1.03% | 0.79% | 0.51% | 0.41% | 0.29% | 0.22% | 0.88% |
ORNBV.HE Orion Oyj | 2.52% | 2.58% | 3.79% | 4.07% | 2.93% | 4.11% | 4.00% | 3.63% | 4.79% | 0.64% | 3.07% | 4.07% |
Financials
ORNBV.HE vs. AGI.TO - Financials Comparison
This section allows you to compare key financial metrics between Orion Oyj and Alamos Gold Inc.. You can select fields from income statements, balance sheets, and cash flow statements to easily visualize and compare the financial health of both companies.
Total Revenue: Total amount of money received from sales and other business activities
Frequently Asked Questions
ORNBV.HE and AGI.TO have a correlation of 0.09, meaning they provide meaningful diversification benefit when combined. Depending on your allocation goals, holding both could reduce overall portfolio risk.
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