SOLV Performance: 1% Return (12 Months)

SOLV returned 0.9% over 12 months, underperforming the S&P 500 (31.0%). Volatility: 31.5%.

RS IBD -28.15
Top 68% in Peers
Volatility 31.5%
Top 22% in Peers
Total Return 12m 0.95%
Top 57% in Peers
RS Rating 17.16
Top 68% in Peers
P/E
P/E Trailing 7.04
P/E Forward 10.0
High / Low 52w
52 Week High 86.14 USD
52 Week Low 62.49 USD
Sentiment
VRO Trend Strength ±100 36.47
Buy Signal ±3 -0.38
Drawdowns 3y
Max Drawdown 39.97%
Mean Drawdown 15.39%
Compare vs 84 peers in Health Care Equipment
12m Total Return: SOLV (1%) vs PEER ETF Total Return of Solventum versus broad market ETF SPY
5y Drawdown (Underwater) Chart 5 Year Drawdown / Underwater Chart for SOLV Performance: 1% Return (12 Months)

Top Performer in Health Care Equipment (5/84)

Short Term Performance
SYMBOL 1W 1M 3M
CATX 2.05% -16.45% 85.48%
LMAT 5.00% 5.21% 37.05%
MASS 4.23% 14.06% 30.29%
VMD -2.56% 0.11% 30.27%
BWAY 10.65% 9.52% 15.09%
SOLV 4.02% -2.68% -23.22%
Long Term Performance
SYMBOL 6M 12M 5Y
BWAY 84.62% 230.25% 204.93%
AXGN 99.87% 102.28% 61.90%
TALK 71.19% 90.07% -47.94%
BFLY 80.26% 79.48% -74.89%
TCMD 64.77% 74.85% -56.47%
SOLV -6.71% 0.95% -17.76%

Overall Best Picks of Peer Group (GARP Metrics)

SYMBOL MCAP 1M 12M 5Y P/E P/E fwd PEG EPS stab EPS cagr
BWAY NASDAQ
Brainsway
572M 9.52% 230% 205% 75.3 64.5 - 83.9% 20.2%
LMAT NASDAQ
LeMaitre Vascular
2.57B 5.21% 42.2% 141% 44.7 39.1 3.25 45.5% -34.6%
IRMD NASDAQ
Iradimed
1.24B -5.60% 89.2% 324% 55.6 45.9 4.46 90.1% 27.1%
BVS NASDAQ
Bioventus
604M 2.26% 19.7% -34.4% 27.2 11.9 1.19 47.0% 61.3%
GMED NYSE
Globus Medical
11.9B 4.35% 27.4% 33.8% 22.4 19.7 1.49 91.5% 34.6%
SNN NYSE
Smith & Nephew SNATS
13.5B 2.77% 36.8% -0.84% 22.2 12.5 0.66 0.90% -69.0%
TCMD NASDAQ
Tactile Systems Technology
547M -16.7% 74.9% -56.5% 29.3 19.1 17.8 49.8% 172%
IDXX NASDAQ
IDEXX Laboratories
46.6B -5.99% 47.5% 11.2% 44.6 39.5 3.96 78.4% 8.48%
AVR NASDAQ
Anteris Technologies Global
517M -11.0% 92.9% -5.33% - - - 32.6% 331%
PEN NYSE
Penumbra
13.0B -2.07% 22.8% 24.0% 72.9 64.1 0.75 60.5% -3.72%

Compare SOLV vs S&P 500

Total Return vs S&P 500
PERIOD SOLV S&P 500
1 Week 4.02% 3.12%
1 Month -2.68% 0.61%
3 Months -23.22% -1.99%
6 Months -6.71% 4.64%
12 Months 0.95% 31.01%
5 Years -17.76% 76.73%

FAQ

Does SOLV outperform the market?

No, SOLV underperforms the market. Over the past 12 months, SOLV returned 0.95% compared to 31.01% for the S&P 500.

What is the SOLV return over the last 12 months?

SOLV has returned 0.95% over the past 12 months, including dividends. Over 3 months the return was -23.22%, and over 5 years -17.76%.

How risky is SOLV?

SOLV has relatively low risk with a maximum drawdown of 39.97% over the past 3 years. The average drawdown is 15.39%.

SOLV vs Sectors (12m)

Relative Performance vs S&P Sectors Sorted by outperformance, Positive = SOLV beats sector.
SECTOR ETF DIFFERENCE 12M
Consumer Staples XLP -5.7%
Health Care XLV -10.2%
Financials XLF -11.3%
Real Estate XLRE -14.5%
Consumer Discretionary XLY -20.2%
Communication Services XLC -26.5%
Communication Services XLC -26.5%
Materials XLB -34.6%
Industrials XLI -39.8%
Technology XLK -46.6%
Energy XLE -51.7%

SOLV vs Asset Classes (12m)

Relative Performance vs Major Asset Classes
ASSET CLASS ETF DIFFERENCE 12M
S&P 500 SPY -30.1%
Emerging Market EEM -52.3%
Gold GLD -48.6%
Long-Term Bonds TLT -3.7%
Risk-Free Cash SHY -2.6%