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603298 vs VOLV-A: Hangcha Group Co Ltd vs AB Volvo (publ)

Side-by-side comparison of key financial metrics, valuation ratios, profitability, growth, and risk-adjusted returns. Both companies are in the Industrials sector.

60
CN¥25.33
-0.47%
China
$32.90B
AB Volvo (publ)
VOLV-ANasdaq Stockholm
SEK 328.40
+3.73%
Sweden
$658.73B

Quick Summary

AB Volvo (publ) is 20.0× the market cap of Hangcha Group Co Ltd. 603298 trades at a lower P/E than VOLV-A. 603298 offers the higher dividend yield.

Price & Performance

Metric603298VOLV-A
Current PriceCN¥25.33SEK 328.40
Daily Change-0.47%3.73%
1-Year Return38.72%30.73%
52-Week HighCN¥31.16SEK 352.60
52-Week LowCN¥18.39SEK 248.40
50-Day MACN¥27.02SEK 328.06
200-Day MACN¥26.05SEK 293.94
Beta1.080.98

Size & Revenue

Metric603298VOLV-A
Market Cap$32.90B$658.73B
Enterprise Value$30.95B$845.66B
Revenue (TTM)$17.60B$479.18B
Shares Outstanding1.31B441.54M
Float462.64M1.94B
Employees6,44785,330

Valuation

Metric603298VOLV-A
Trailing P/E14.9519.08
Forward P/E0.0015.77
PEG Ratio1.69
Price / Sales1.871.37
Price / Book2.933.72
EV / EBITDA11.6411.87

Profitability

Metric603298VOLV-A
Profit Margin12.49%7.19%
Operating Margin (TTM)14.74%9.30%
Return on Equity20.79%18.47%
Return on Assets7.62%4.45%
Diluted EPS (TTM)1.6816.94

Growth

Metric603298VOLV-A
Revenue Growth (YoY)8.60%-10.60%
Earnings Growth (YoY)11.70%-10.60%

Dividends

Metric603298VOLV-A
Dividend Yield2.75%2.64%
Dividend / Share0.708.50

Risk-Adjusted Returns & Quality

Metric603298VOLV-A
Sortino (Composite)4.234.92
Sharpe (Composite)1.192.29
Calmar (Composite)2.1015.30
Hurst Exponent0.60600.5997
Piotroski F-Score5/96/9
Magic Formula Rank#6,812#11,761

Ownership

Metric603298VOLV-A
% Insiders6581.30%5777.10%
% Institutions684.00%2481.50%
Green highlighting indicates the more favorable value for each metric. Data is for informational purposes only and may be delayed.