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FFLV vs BAVA

Comparison between FIDELITY FUNDAMENTAL LARGE CAP VALUE ETF (FFLV, ETF) and Bitwise Avalanche ETF (BAVA, ETF).

FFLV vs BAVA - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Net Assets
FFLV
$16M
BAVA
$16M
Expense Ratio
FFLV
0.38%
Winner
BAVA
0.34%
Max Drawdown
Winner
FFLV
17.49%
BAVA
40.15%
Sharpe Ratio
Winner
FFLV
1.98
BAVA
-1.06
5Y Beta
Winner
FFLV
0.69
BAVA
1.96
P/E Ratio
FFLV
20.88
BAVA
N/A
Forward P/E
FFLV
16.81
BAVA
N/A
PEG Ratio
FFLV
0.22
BAVA
N/A
5Y EPS CAGR
FFLV
17.47%
BAVA
N/A
P/S Ratio
FFLV
1.71
BAVA
N/A
P/B Ratio
FFLV
3.30
BAVA
N/A

FFLV vs BAVA - Historical Returns

Returns include dividend reinvestment.

1M
FFLV
+2.86%
Winner
BAVA
+20.00%
3M
Winner
FFLV
+7.72%
BAVA
-17.79%
6M
FFLV
+11.81%
BAVA
N/A
1Y
FFLV
+29.26%
BAVA
N/A
Max(CAGR)
Winner
FFLV
+17.85%
BAVA
-46.78%

FFLV vs BAVA - Annual Returns (2024 - 2026)

Returns include dividend reinvestment.

YearFFLVBAVA
2026+19.04%-20.38%
2025+16.30%N/A
2024+8.04%N/A

FFLV vs BAVA Drawdown Comparison

The maximum drawdown for FFLV was -16.71%, occurring on Apr 8, 2025. Recovery took 181 trading sessions.

The maximum drawdown for BAVA was -40.15%, occurring on Jun 25, 2026. This drawdown has not yet recovered.

The current FFLV drawdown is -0.29%. The current BAVA drawdown is -26.22%.

RankFFLVBAVA
#1-16.71%
Nov 29, 2024 - Aug 22, 2025
-40.15%
May 11, 2026 - Jun 25, 2026
#2-7.24%
Feb 11, 2026 - Apr 30, 2026
-8.30%
Apr 16, 2026 - May 8, 2026
#3-5.98%
Jul 31, 2024 - Aug 23, 2024
N/A
#4-5.83%
Mar 28, 2024 - Jul 17, 2024
N/A
#5-3.46%
Aug 30, 2024 - Sep 19, 2024
N/A
#6-3.07%
Oct 6, 2025 - Oct 20, 2025
N/A
#7-3.01%
Nov 12, 2025 - Nov 25, 2025
N/A
#8-3.00%
Oct 16, 2024 - Nov 6, 2024
N/A
#9-2.93%
Jul 17, 2024 - Jul 30, 2024
N/A
#10-2.04%
Oct 27, 2025 - Nov 12, 2025
N/A
#11-1.97%
Nov 11, 2024 - Nov 22, 2024
N/A
#12-1.89%
May 6, 2026 - May 22, 2026
N/A
#13-1.89%
Jan 15, 2026 - Jan 27, 2026
N/A
#14-1.77%
Jun 4, 2026 - Jun 12, 2026
N/A
#15-1.42%
Jan 6, 2026 - Jan 9, 2026
N/A

Correlation

Correlation between FFLV and BAVA is -0.70 which considered as a moderate negative correlation - the stocks show some tendency to move in opposite directions.

-0.70
-101

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