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CRIS vs SWVL

Comparison between Curis Inc (CRIS, Company) and Swvl Holdings Corp - Class A (SWVL, Company).

CRIS is from the Healthcare sector, while SWVL is from the Industrials sector.

CRIS vs SWVL - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
CRIS
$17M
Winner
SWVL
$17M
Max Drawdown
CRIS
99.98%
Winner
SWVL
99.72%
Sharpe Ratio
CRIS
-1.80
Winner
SWVL
-0.93
5Y Beta
CRIS
1.19
Winner
SWVL
0.92
Industry
CRIS
Biotechnology
SWVL
Railroads
P/E Ratio
CRIS
-0.81
Winner
SWVL
-2.51
5Y EPS CAGR
CRIS
-31.57%
SWVL
N/A
Debt to Equity
Winner
CRIS
0.00%
SWVL
22.48%
Free Cash Flow Yield
CRIS
N/A
SWVL
-4.60%

CRIS vs SWVL - Historical Returns

Returns include dividend reinvestment.

1M
CRIS
-12.29%
Winner
SWVL
-2.50%
3M
CRIS
-48.35%
Winner
SWVL
+1.96%
6M
CRIS
-63.39%
Winner
SWVL
-24.89%
1Y
CRIS
-81.70%
Winner
SWVL
-62.95%
5Y(CAGR)
Winner
CRIS
-69.16%
SWVL
-69.54%
10Y(CAGR)
CRIS
-44.72%
SWVL
N/A
Max(CAGR)
Winner
CRIS
-28.45%
SWVL
-69.54%

CRIS vs SWVL - Annual Returns (2000 - 2026)

Returns include dividend reinvestment.

YearCRISSWVL
2026-57.17%-16.58%
2025-76.72%-70.31%
2024-75.42%+298.93%
2023+3.47%-64.39%
2022-89.28%-98.54%
2021-47.29%N/A
2020+342.70%N/A
2019+107.01%N/A
2018-81.36%N/A
2017-78.40%N/A
2016+11.59%N/A
2015+96.62%N/A
2014-47.74%N/A
2013-22.95%N/A
2012-24.62%N/A
2011+130.54%N/A
2010-40.90%N/A
2009+330.46%N/A
2008-26.47%N/A
2007-21.61%N/A
2006-66.58%N/A
2005-29.08%N/A
2004+14.22%N/A
2003+332.69%N/A
2002-80.93%N/A
2001-33.01%N/A
2000-63.60%N/A

CRIS vs SWVL Drawdown Comparison

The maximum drawdown for CRIS was -99.98%, occurring on Jun 16, 2026. This drawdown has not yet recovered.

The maximum drawdown for SWVL was -99.72%, occurring on Aug 11, 2023. This drawdown has not yet recovered.

The current CRIS drawdown is -99.98%. The current SWVL drawdown is -99.38%.

RankCRISSWVL
#1-99.98%
Aug 1, 2000 - Jun 16, 2026
-99.72%
Apr 28, 2022 - Aug 11, 2023
#2N/A-57.50%
Apr 1, 2022 - Apr 28, 2022

Correlation

Correlation between CRIS and SWVL is 0.67 which considered as a moderate positive correlation - the stocks show some tendency to move together.

0.67
-101

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