Home 603298 vs VOLV-B 603298 vs VOLV-B: 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.
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-B. 603298 offers the higher dividend yield.
Price & Performance Metric 603298 VOLV-B Current Price CN¥25.33 SEK 328.30 Daily Change -0.47% 3.86% 1-Year Return 38.72% 30.59% 52-Week High CN¥31.16 SEK 353.20 52-Week Low CN¥18.39 SEK 247.40 50-Day MA CN¥27.02 SEK 328.25 200-Day MA CN¥26.05 SEK 293.90 Beta 1.08 0.98
Size & Revenue Metric 603298 VOLV-B Market Cap $32.90B $658.23B Enterprise Value $30.95B $845.66B Revenue (TTM) $17.60B $479.18B Shares Outstanding 1.31B 1.59B Float 462.64M 1.94B Employees 6,447 85,330
Valuation Metric 603298 VOLV-B Trailing P/E 14.95 19.12 Forward P/E 0.00 15.77 PEG Ratio — 1.69 Price / Sales 1.87 1.37 Price / Book 2.93 3.72 EV / EBITDA 11.64 11.87
Profitability Metric 603298 VOLV-B Profit Margin 12.49% 7.19% Operating Margin (TTM) 14.74% 9.30% Return on Equity 20.79% 18.47% Return on Assets 7.62% 4.45% Diluted EPS (TTM) 1.68 16.93
Growth Metric 603298 VOLV-B Revenue Growth (YoY) 8.60% -10.60% Earnings Growth (YoY) 11.70% -10.60%
Dividends Metric 603298 VOLV-B Dividend Yield 2.75% 2.65% Dividend / Share 0.70 8.50
Risk-Adjusted Returns & Quality Metric 603298 VOLV-B Sortino (Composite) 4.23 4.92 Sharpe (Composite) 1.19 2.29 Calmar (Composite) 2.10 9.90 Hurst Exponent 0.6060 0.5958 Piotroski F-Score 5/9 6/9 Magic Formula Rank #6,812 #11,763
Ownership Metric 603298 VOLV-B % Insiders 6581.30% 168.40% % Institutions 684.00% 6263.40%
Green highlighting indicates the more favorable value for each metric. Data is for informational purposes only and may be delayed.