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STRT vs CV

Comparison between Strattec Security Corp (STRT, Company) and CapsoVision Inc (CV, Company).

STRT is from the Consumer Cyclical sector, while CV is from the Healthcare sector.

STRT vs CV - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
Winner
STRT
$347M
CV
$344M
Max Drawdown
STRT
90.47%
Winner
CV
67.82%
Sharpe Ratio
STRT
0.70
Winner
CV
0.87
5Y Beta
STRT
1.27
Winner
CV
0.90
Industry
STRT
Auto Parts
CV
Medical Devices
P/E Ratio
STRT
15.61
Winner
CV
-12.79
Forward P/E
STRT
17.64
CV
N/A
PEG Ratio
STRT
0.08
CV
N/A
5Y Dividends CAGR
STRT
3.83%
CV
N/A
Debt to Equity
STRT
0.00%
CV
0.00%
Free Cash Flow Yield
Winner
STRT
16.68%
CV
-8.26%
P/S Ratio
Winner
STRT
0.61
CV
25.46
P/B Ratio
Winner
STRT
1.47
CV
17.35

STRT vs CV - Historical Returns

Returns include dividend reinvestment.

1M
Winner
STRT
+6.49%
CV
-8.46%
3M
Winner
STRT
+12.22%
CV
+6.92%
6M
STRT
+7.79%
Winner
CV
+8.17%
1Y
STRT
+31.62%
Winner
CV
+51.99%
5Y(CAGR)
STRT
+16.42%
CV
N/A
10Y(CAGR)
STRT
+7.90%
CV
N/A
Max(CAGR)
STRT
+4.43%
Winner
CV
+79.10%

STRT vs CV - Annual Returns (1999 - 2026)

Returns include dividend reinvestment.

YearSTRTCV
2026+12.82%-36.62%
2025+85.35%+205.43%
2024+70.88%N/A
2023+21.53%N/A
2022-47.17%N/A
2021-22.47%N/A
2020+120.99%N/A
2019-24.31%N/A
2018-34.11%N/A
2017+7.42%N/A
2016-27.72%N/A
2015-28.42%N/A
2014+86.00%N/A
2013+73.61%N/A
2012+33.32%N/A
2011-37.22%N/A
2010+85.12%N/A
2009+7.25%N/A
2008-59.89%N/A
2007-9.59%N/A
2006+17.38%N/A
2005-35.65%N/A
2004+1.43%N/A
2003+27.75%N/A
2002+34.47%N/A
2001+11.44%N/A
2000-7.79%N/A
1999-3.34%N/A

STRT vs CV Drawdown Comparison

The maximum drawdown for STRT was -89.98%, occurring on Mar 13, 2009. Recovery took 2539 trading sessions.

The maximum drawdown for CV was -67.82%, occurring on Feb 19, 2026. This drawdown has not yet recovered.

The current STRT drawdown is -13.28%. The current CV drawdown is -54.99%.

RankSTRTCV
#1-89.98%
Jan 16, 2004 - Feb 19, 2014
-67.82%
Dec 11, 2025 - Feb 19, 2026
#2-88.13%
Nov 24, 2014 - Mar 23, 2020
-27.20%
Jul 9, 2025 - Oct 22, 2025
#3-39.80%
Jun 17, 2002 - Nov 25, 2003
-9.70%
Nov 13, 2025 - Nov 26, 2025
#4-22.56%
Mar 10, 2014 - Aug 27, 2014
-7.09%
Oct 22, 2025 - Nov 11, 2025
#5-20.62%
Nov 26, 1999 - Dec 28, 2001
-4.77%
Jul 3, 2025 - Jul 8, 2025
#6-13.48%
May 21, 2002 - Jun 17, 2002
-3.16%
Nov 26, 2025 - Dec 3, 2025
#7-11.83%
Sep 19, 2014 - Oct 24, 2014
N/A
#8-7.20%
Mar 11, 2002 - Apr 10, 2002
N/A
#9-5.44%
Apr 22, 2002 - May 6, 2002
N/A
#10-5.20%
Jan 8, 2002 - Feb 19, 2002
N/A
#11-5.04%
Nov 3, 1999 - Nov 16, 1999
N/A
#12-5.00%
Nov 16, 1999 - Nov 26, 1999
N/A
#13-4.89%
Dec 1, 2003 - Dec 29, 2003
N/A
#14-4.36%
Feb 28, 2002 - Mar 6, 2002
N/A
#15-3.60%
Oct 28, 2014 - Nov 21, 2014
N/A

Correlation

Correlation between STRT and CV is 0.47 which considered as a weak positive correlation - the stocks show a slight tendency to move together.

0.47
-101

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