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STOCK COMPARISON

Loblaw Companies vs Zabka Group S.A.: Fair Value & Quality

Both stocks run through our valuation models. Here is how Loblaw Companies (L) and Zabka Group S.A. (ZAB) compare, as of Sep 5, 2026.

As of Sep 5, 2026, Fair Value Calculator sees Zabka Group S.A. as the less overvalued of the two: Loblaw Companies trades at C$62.44 versus a fair value of C$44.44 (-29%), while Zabka Group S.A. trades at PLN 31.55 versus PLN 23.15 (-27%).
Loblaw Companies
L.TO · CAD · Consumer Staples
-29%
upside to fair value
overvalued
PriceC$62.44
Fair ValueC$44.44
Quality70/100
Zabka Group S.A.
ZAB.WAR · PLN · Consumer Staples
-27%
upside to fair value
overvalued
PricePLN 31.55
Fair ValuePLN 23.15
Quality56/100
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Head-to-head numbers

Green value = the better side for that row (for valuation multiples: lower = cheaper).

Loblaw CompaniesZabka Group S.A.
Valuation
P/E (TTM)24.2×
P/S (TTM)0.27×
P/B3.01×
EV/EBITDA3.6×
−28.8%Fair value upside−26.6%
C$0.56Dividend per share
Profitability
Operating margin2%
1.56×EBIT margin trend (5Y)0.95×
Return on equity59%
Return on assets7%
Growth
Revenue growth (YoY)16%
4.2%Avg. growth/yr (3Y)19.3%
3.9%Avg. growth/yr (5Y)
+17.6%Value creation/yr+17.7%
Balance & size
5.8×Interest coverage (EBIT/interest)2.2×
Debt / equity1.54×
Market cap$7B
healthyGrowth qualityhealthy

Zabka Group S.A. leads: 2 to 3 metric wins.

Dash = not meaningfully computable, for example with negative equity.

Quality in detail

The quality score, broken down into the same factor families as on the stock page, 0 to 100 per family.

Loblaw Companiesof which business quality 67 · market factors 61 Zabka Group S.A.of which business quality 55 · market factors 84
ProfitabilityMargins and returns on capital today
69
64
Quality GrowthAre margins and returns improving?
51
70
CashflowEarnings quality: real cash, not paper profit
59
62
Fin. StrengthBalance sheet, leverage, solvency risk
48
21
InvestmentDisciplined investing over empire-building
94
37
Low VolatilityCalm price path (market factor)
93
66
MomentumPrice trend over the last 3–12 months (market factor)
45
90
52W MomentumDistance to the 52-week high (market factor)
52
93
Net IssuanceBuybacks instead of dilution
100
82

What the models say

How far the median fair value (base case) per model family sits from the current price, in percent. The amount in the currency of the trading venue is shown underneath.

above the price, more than 15% above close to the price, 85% to 115% of the price below the price, more than 15% below

Model familyLoblaw CompaniesPrice C$62.44Zabka Group S.A.Price PLN 31.55
DCF Models-24%below the priceC$47.64+50%above the pricePLN 47.40
Earnings-Based-55%below the priceC$28.09-32%below the pricePLN 21.52
Dividend Discount-83%below the priceC$10.70n/a
Multiples-25%below the priceC$46.88-27%below the pricePLN 23.05
Asset-Based-90%below the priceC$6.35-95%below the pricePLN 1.67
Growth DCF-20%below the priceC$49.73+79%above the pricePLN 56.35
Economic Profit-59%below the priceC$25.87-37%below the pricePLN 19.96
Growth Earnings-37%below the priceC$39.55-6%close to the pricePLN 29.66
Minimum-90%below the priceC$6.35-95%below the pricePLN 1.67
Maximum-20%below the priceC$49.73+79%above the pricePLN 56.35
Median-46%below the priceC$33.82-27%below the pricePLN 23.05
Geometric mean-58%below the priceC$26.12-36%below the pricePLN 20.07

Minimum, maximum, median and geometric mean refer to the family values in this table. Geometric because deviations are ratios: half the price and twice the price average to 100%, not 125%.

Loblaw Companies: 23 of 25 models see the stock below the current price.

Zabka Group S.A.: 12 of 24 models see the stock below the current price.

Scenario ranges

From our cautious bear case to the optimistic bull case. The white tick is the current price: left of fair value means room to run.

Loblaw Companies
Bear C$29.22Fair Value C$44.44Bull C$60.15
C$62.44 = current price (white tick)
Zabka Group S.A.
Bear PLN 17.36Fair Value PLN 23.15Bull PLN 30.34
PLN 31.55 = current price (white tick)

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Ranked within their sector

Where each stock sits within its sector peer group. Band = middle 50% of peers, tick = median, dot = this stock.

Loblaw Companies · Consumer Staples

Quality score70 · Top 25%
Fair value upside-29% · below median

Zabka Group S.A. · Consumer Staples

Quality score56 · above median
Fair value upside-27% · below median

Bottom line

As of Sep 5, 2026, Fair Value Calculator sees Zabka Group S.A. as the less overvalued of the two: Loblaw Companies trades at C$62.44 versus a fair value of C$44.44 (-29%), while Zabka Group S.A. trades at PLN 31.55 versus PLN 23.15 (-27%).

Loblaw Companies has the higher quality score (70/100).

See the full analysis →

More comparisons

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A model-based valuation snapshot from 26 models. Values change with price and fundamentals; the date shown above applies.