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FGI vs BIVI

Comparison between FGI Industries Ltd (FGI, Company) and BioVie Inc - Class A (BIVI, Company).

FGI is from the Consumer Cyclical sector, while BIVI is from the Healthcare sector.

FGI vs BIVI - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
Winner
FGI
$12M
BIVI
$12M
Max Drawdown
Winner
FGI
90.12%
BIVI
99.98%
Sharpe Ratio
Winner
FGI
1.05
BIVI
-1.48
5Y Beta
Winner
FGI
0.18
BIVI
1.91
Industry
FGI
Furnishings, Fixtures & Appliances
BIVI
Biotechnology
P/E Ratio
Winner
FGI
-1.89
BIVI
-0.41
Forward P/E
FGI
3.24
BIVI
N/A
PEG Ratio
FGI
-0.01
BIVI
N/A
5Y EPS CAGR
FGI
N/A
BIVI
13.37%
Debt to Equity
FGI
81.33%
Winner
BIVI
0.00%
Free Cash Flow Yield
FGI
11.23%
BIVI
N/A
P/S Ratio
FGI
0.09
BIVI
N/A
P/B Ratio
Winner
FGI
0.76
BIVI
0.81

FGI vs BIVI - Historical Returns

Returns include dividend reinvestment.

1M
FGI
+7.86%
Winner
BIVI
+26.72%
3M
Winner
FGI
+23.81%
BIVI
+16.08%
6M
FGI
-8.18%
Winner
BIVI
+16.08%
1Y
Winner
FGI
+40.70%
BIVI
-84.77%
5Y(CAGR)
Winner
FGI
-26.88%
BIVI
-74.86%
10Y(CAGR)
FGI
N/A
BIVI
-51.90%
Max(CAGR)
Winner
FGI
-26.88%
BIVI
-47.14%

FGI vs BIVI - Annual Returns (2014 - 2026)

Returns include dividend reinvestment.

YearFGIBIVI
2026-13.49%+24.81%
2025+41.16%-94.68%
2024-54.14%-85.40%
2023-25.45%-79.58%
2022-44.87%+54.17%
2021N/A-74.42%
2020N/A+394.86%
2019N/A-21.13%
2018N/A-81.27%
2017N/A-49.15%
2016N/A+145.83%
2015N/A-58.62%
2014N/A-3.33%

FGI vs BIVI Drawdown Comparison

The maximum drawdown for FGI was -90.12%, occurring on Apr 14, 2025. This drawdown has not yet recovered.

The maximum drawdown for BIVI was -99.98%, occurring on Feb 5, 2026. This drawdown has not yet recovered.

The current FGI drawdown is -79.67%. The current BIVI drawdown is -99.97%.

RankFGIBIVI
#1-90.12%
Jan 31, 2022 - Apr 14, 2025
-99.98%
Jan 29, 2015 - Feb 5, 2026
#2-18.97%
Jan 25, 2022 - Jan 31, 2022
-78.49%
Aug 11, 2014 - Jan 29, 2015
#3N/A-56.52%
Jun 11, 2014 - Aug 11, 2014
#4N/A-50.00%
May 5, 2014 - Jun 11, 2014

Correlation

Correlation between FGI and BIVI is 0.59 which considered as a moderate positive correlation - the stocks show some tendency to move together.

0.59
-101

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