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ALV vs GAP: ALV vs GAP

ALV (ALV) and GAP (GAP) on Torvanta's measures: ALV grades higher on 0 of the 4 factor families and GAP on 4.

ALVGAP
Value gradeB+A
Growth gradeCB-
Profitability gradeC+B
Momentum gradeCB
Market value$8.2B$8.2B
P/E (trailing)13.2x7.0x
Forward P/E (Torvanta estimate)13.3x5.7x
Revenue, last 12 months$11.1B$15.3B
Revenue growth (y/y)+6%+1%
Operating margin9.2%11.0%
Return on invested capital17.7%36.9%
Free-cash-flow yield9.2%11.7%
Total return, 1 year-9.8%+11.3%
Total return, 3 years+31.1%+152.3%

Full ALV analysis · Full GAP analysis

Frequently asked questions

Which is better, ALV or GAP?

ALV (ALV) and GAP (GAP) on Torvanta's measures: ALV grades higher on 0 of the 4 factor families and GAP on 4. Which fits an investor depends on their goals; this is research, not a recommendation. Subscribers see where the model ranks each and its expected return.

Which is cheaper, ALV or GAP?

On trailing earnings ALV trades at 13.2x and GAP at 7.0x; their value grades are B+ and A against their sectors.

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Subscribers get the model's rank and expected return for every covered company, the reasoning behind each, and the Torvanta model portfolio's trades each trading day, sized and explained, at three risk levels.

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Torvanta is research only - not investment advice and not a recommendation to buy or sell any security. Grades describe a company's reported data against its sector; they are not the model's view, change as data changes and can be wrong. Financial figures come from the company's SEC filings; returns include reinvested dividends. Past performance does not predict future results.

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