FOXF Performance: -22.3% Return (12 Months)

FOXF returned -22.3% over 12 months, underperforming the S&P 500 (32.2%). Volatility: 54.2%.

RS IBD -68.69
Top 94% in Peers
Volatility 54.3%
Top 68% in Peers
Total Return 12m -22.33%
Top 91% in Peers
RS Rating 8.67
Top 94% in Peers
P/E
P/E Trailing 0.00
P/E Forward 11.8
High / Low 52w
52 Week High 30.41 USD
52 Week Low 13.19 USD
Sentiment
VRO Trend Strength ±100 27.21
Buy Signal ±3 -0.79
Drawdowns 3y
Max Drawdown 88.58%
Mean Drawdown 58.71%
Compare performance with 36 peers in Automotive Parts & Equipment
12m Total Return: FOXF (-22.3%) vs PEER ETF Total Return of Fox Factory Holding versus broad market ETF SPY
5y Drawdown (Underwater) Chart 5 Year Drawdown / Underwater Chart for FOXF Performance: -22.3% Return (12 Months)

Top Performer in Automotive Parts & Equipment (5/36)

Short Term Performance
SYMBOL 1W 1M 3M
MOD -1.25% 6.43% 78.81%
DAN -0.89% 1.61% 29.71%
BWA -3.45% -1.62% 10.74%
PHIN -0.09% 1.97% 3.58%
FOXF -5.35% -4.83% -15.00%
WRD -7.66% 18.76% -22.83%
Long Term Performance
SYMBOL 6M 12M 5Y
DAN 80.47% 213.15% 46.66%
MOD 42.84% 194.48% 1305.12%
GTX 40.14% 128.89% 261.22%
BWA 24.48% 106.05% 37.71%
PHIN 27.40% 81.37% 97.69%
FOXF -33.59% -22.33% -88.34%
Overall Best Picks of Peer Group (GARP Metrics)
SYMBOL MCAP 1M 12M 5Y P/E P/E fwd PEG EPS stab EPS cagr
GTX NASDAQ
Garrett Motion
3.58B -1.84% 129% 261% 12.1 10.6 - 33.8% 30.3%
MOD NYSE
Modine Manufacturing
11.3B 6.43% 194% 1,305% 118 30.5 0.90 31.5% -33.7%
LCII NYSE
LCI Industries
2.98B -4.85% 58.4% 7.57% 16.2 14.2 1.04 -10.5% -43.4%
XPEL NASDAQ
Xpel
1.22B 10.9% 68.3% -23.9% 23.9 - - -26.2% -46.7%

Performance: FOXF vs S&P 500

Total Return vs S&P 500
PERIOD FOXF S&P 500 DIFFERENCE
1 Month -4.83% -2.54% -2.34%
3 Months -15.00% -4.14% -11.33%
6 Months -33.59% -0.92% -32.97%
12 Months -22.33% 32.20% -41.25%
5 Years -88.34% 71.53% -93.20%

FOXF Performance FAQ

Does FOXF outperform the market?

No, FOXF underperforms the market. Over the past 12 months, FOXF returned -22.33% compared to 32.20% for the S&P 500.

What is the FOXF return over the last 12 months?

FOXF has returned -22.33% over the past 12 months, including dividends. Over 3 months the return was -15.00%, and over 5 years -88.34%.

How risky is FOXF?

FOXF has relatively low risk with a maximum drawdown of 88.58% over the past 3 years. The average drawdown is 58.71%.

FOXF vs Sectors (12m)

Sorted by outperformance. Positive = FOXF beats sector.

Relative Performance vs S&P Sectors
SECTOR ETF DIFFERENCE 12M
Consumer Staples XLP -30%
Health Care XLV -33.3%
Real Estate XLRE -35.9%
Financials XLF -37.2%
Consumer Discretionary XLY -42.6%
Communication Services XLC -51.9%
Communication Services XLC -51.9%
Materials XLB -55.6%
Industrials XLI -64.2%
Technology XLK -73%
Energy XLE -81%

FOXF vs Asset Classes (12m)

Relative Performance vs Major Asset Classes
ASSET CLASS ETF DIFFERENCE 12M
S&P 500 SPY -41.25%
Gold GLD -80.1%
Long-Term Bonds TLT -22.9%