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VIV vs GPC

Comparison between Telefonica Brasil S.A. (VIV, Company) and Genuine Parts Company (GPC, Company).

VIV is from the Communication Services sector, while GPC is from the Consumer Cyclical sector.

5-Year PerformanceVIV has outperformed GPC, delivering a return of +13.8% compared to +4.5%

VIV vs GPC - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
Winner
VIV
$19B
GPC
$18B
Max Drawdown
VIV
82.53%
Winner
GPC
56.32%
Sharpe Ratio
VIV
-0.01
Winner
GPC
0.09
5Y Beta
Winner
VIV
0.37
GPC
0.59
Industry
VIV
Telecom Services
GPC
Auto Parts
P/E Ratio
Winner
VIV
14.82
GPC
616.16
Forward P/E
Winner
VIV
10.75
GPC
17.36
PEG Ratio
Winner
VIV
0.62
GPC
1.32
Dividend Yield
Winner
VIV
8.64%
GPC
3.11%
5Y Dividends CAGR
VIV
9.98%
Winner
GPC
10.19%
5Y EPS CAGR
Winner
VIV
7.87%
GPC
-47.85%
Debt to Equity
Winner
VIV
30.13%
GPC
93.39%
Free Cash Flow Yield
Winner
VIV
11.10%
GPC
4.11%
P/S Ratio
VIV
1.57
Winner
GPC
0.74
P/B Ratio
Winner
VIV
1.48
GPC
4.10

VIV vs GPC - Historical Returns

Returns include dividend reinvestment.

1M
VIV
-18.67%
Winner
GPC
+12.46%
3M
VIV
-15.07%
Winner
GPC
+38.71%
6M
VIV
-23.45%
Winner
GPC
+15.75%
1Y
VIV
-1.56%
Winner
GPC
+1.78%
5Y(CAGR)
Winner
VIV
+13.79%
GPC
+4.53%
10Y(CAGR)
VIV
+4.79%
Winner
GPC
+5.73%
Max(CAGR)
VIV
+6.90%
Winner
GPC
+9.76%

VIV vs GPC - Annual Returns (1999 - 2026)

Returns include dividend reinvestment.

YearVIVGPC
2026-0.18%+10.21%
2025+64.98%+9.33%
2024-25.16%-12.96%
2023+76.51%-16.35%
2022-10.74%+28.88%
2021+5.21%+46.28%
2020-32.31%-1.79%
2019+21.65%+15.50%
2018-13.67%+2.42%
2017+19.26%+2.34%
2016+56.05%+16.80%
2015-44.59%-17.10%
2014-0.41%+33.43%
2013-14.25%+31.32%
2012-12.20%+6.36%
2011+24.53%+20.99%
2010+4.02%+39.89%
2009+35.76%+1.15%
2008-16.36%-12.68%
2007+9.38%+0.33%
2006+27.44%+10.66%
2005+15.47%+3.60%
2004+22.52%+37.61%
2003+99.52%+9.03%
2002-27.79%-11.69%
2001+12.17%+44.42%
2000-34.72%+14.55%
1999+51.61%-4.74%

VIV vs GPC Drawdown Comparison

The maximum drawdown for VIV was -77.91%, occurring on Sep 26, 2001. Recovery took 1477 trading sessions.

The maximum drawdown for GPC was -54.89%, occurring on Mar 23, 2020. Recovery took 479 trading sessions.

The current VIV drawdown is -29.98%. The current GPC drawdown is -20.49%.

RankVIVGPC
#1-77.91%
Mar 3, 2000 - Jan 19, 2006
-54.89%
Apr 5, 2019 - Mar 2, 2021
#2-67.51%
Apr 9, 2012 - Aug 15, 2025
-47.72%
Sep 19, 2007 - Sep 28, 2010
#3-45.49%
Jul 19, 2007 - Apr 6, 2011
-45.71%
Dec 2, 2022 - May 19, 2026
#4-31.20%
Apr 10, 2026 - Aug 20, 2026
-27.81%
May 1, 2000 - Dec 27, 2000
#5-25.06%
Feb 16, 2006 - Dec 13, 2006
-26.83%
Mar 19, 2002 - Apr 16, 2004
#6-18.67%
Aug 31, 2011 - Mar 13, 2012
-26.53%
Dec 29, 2014 - Jul 8, 2016
#7-15.51%
Jul 29, 2011 - Aug 31, 2011
-22.89%
Nov 16, 1999 - May 1, 2000
#8-12.97%
Feb 6, 2007 - Apr 26, 2007
-21.38%
Jul 11, 2016 - Jan 11, 2018
#9-12.25%
Nov 28, 2025 - Jan 22, 2026
-19.10%
Jul 17, 2001 - Oct 5, 2001
#10-11.93%
Dec 29, 1999 - Jan 7, 2000
-18.94%
Jan 26, 2018 - Feb 12, 2019
#11-10.17%
Feb 27, 2026 - Apr 9, 2026
-18.55%
Jul 7, 2011 - Oct 21, 2011
#12-8.49%
Apr 21, 2011 - May 25, 2011
-15.32%
Jan 4, 2022 - Jun 6, 2022
#13-8.44%
Feb 14, 2000 - Mar 3, 2000
-12.76%
Feb 21, 2001 - Apr 18, 2001
#14-8.03%
Jun 2, 2011 - Jul 26, 2011
-11.84%
Apr 5, 2006 - Oct 23, 2006
#15-8.00%
Nov 11, 1999 - Nov 23, 1999
-11.11%
May 2, 2012 - Jan 2, 2013

Correlation

Correlation between VIV and GPC is 0.52 which considered as a moderate positive correlation - the stocks show some tendency to move together.

0.52
-101

Dividend Comparison (1999 - 2026)

VIV vs GPC dividend yield comparison.

YearVIVGPC
20266.38%1.59%
20255.25%3.35%
20246.60%3.43%
20235.55%2.74%
20225.86%2.06%
20216.44%2.33%
202010.22%3.15%
20195.25%2.87%
20189.20%3.00%
201710.87%2.84%
20164.09%2.75%
201510.07%2.86%
20146.63%2.16%
201310.19%2.58%
20123.59%3.11%
201110.81%2.94%
20107.51%3.19%
20095.13%4.21%
200811.08%4.12%
200712.51%3.15%
20063.74%2.85%
20058.28%2.85%
20042.83%2.72%
200317.51%3.55%
20025.54%3.77%
200115.31%3.11%
200017.28%4.20%
19990.00%1.05%

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