0VSO (LSE) - BYD Co. Ltd.

Exchange: London Exchange • Country: UK • Currency: EUR • Type: Common Stock • ISIN: -s
BYD Company Limited, together with its subsidiaries, engages in the research, development, manufacture, and sale of automobiles and related products in the People's Republic of China and internationally. The company operates through three segments: The Secondary Rechargeable Batteries and Photovoltaic; Mobile Phone Components, Assembly, and Other Products; and Automobiles, Automobile-Related Products and Other Products. The Secondary Rechargeable Batteries and Photovoltaic segment manufactures and sells lithium-ion and nickel batteries, photovoltaic products, and iron batteries primarily for mobile phones, power tools, photovoltaic and energy storage products, and electric vehicles. The Mobile Phone Components, Assembly, and Other Products segment manufactures and sells casings and other mobile phone and electronic product components; provides complete machine assembly services; and offers epidemic prevention materials. The Automobiles, Automobile-Related Products and Other Products segment is involved in the manufacture and sale of automobiles comprising hybrid, battery-electric buses, taxis, sanitation, and passenger vehicles; automobile-related molds and parts; automobile leasing and after-sales services of automobiles; and rail transit and related businesses. In addition, it offers rail transit equipment; solar batteries and arrays; and urban rail transportation services. The company was founded in 1995 and is headquartered in Shenzhen, China. Web URL: https://www.byd.com

Drawdown (Underwater) Chart

Drawdown / Underwater Chart for 0VSO (LSE) - BYD Co. Ltd.
Market Cap. 659,609m EUR
Enterprise Value 659,609m EUR (+0%)
VR Technical Rating -0.12
VR Dividend Rating 2.71
VR Fundamental Rating -
Price/Fair Price Exp. Total Return 1.45
Price/Fair Price Fundamental -
TER 0.00%
IPO / Inception


Rate TTM 0.02
Yield TTM 0.01%
Div. CAGR 5y -4.39%
Consistency of Dividends all time 83.8%


Growth TTM 41.37%
CAGR 5y -16.13%
CAGR / Mean Drawdown 5y -0.23
Sharpe Ratio TTM 1.12
Alpha vs SP500 TTM 66.17
Beta vs SP500 5y monthly 2.50
CAPM 19.36%
Correlation TTM 0.32
Max Drawdown 5y 94%
Mean Drawdown 5y 70.6%
Price / VWMA 30 weeks -100%
Price / SMA 200 days 0.7%
Current Volume 0k
Average Volume 6.3k

Trading Setup

Standard Deviation 60d 0.00 (0.00%)
- Stop Loss 1.5x Std.Dev 35.61 EUR