ADUS vs VITL: Correlation
How closely do Addus HomeCare Corporation (ADUS) and Vital Farms, Inc. (VITL) trade together? Their weekly returns over three years give a correlation of 0.44, which is moderate.
Data as of 2026-08-27 · refreshed every trading day · weekly returns · methodology
How correlated are ADUS and VITL?
On 3 years of weekly data the ADUS/VITL correlation comes out at 0.44, moderate. The relationship has been stable: the 1-year correlation (0.44) sits close to the 3-year figure. The 5-year figure is 0.31, and annualized covariance runs at 696.7 %².
In ADUS's tracked universe of 11 assets, VITL sits right near the top at #3. Correlation aside, the last 12 months split them widely, with ADUS ahead by 82.3 points (+2.2% versus -80.1%). One caveat on sizing: VITL is 2.1 times as volatile as the other leg, so an equal-dollar split is far from equal-risk.
How is this computed?
Pearson correlation on weekly returns: ρ(A,B) = cov(rA, rB) / (σA · σB), over windows of 52, 156 and 260 weeks. Covariance is annualized (×52) and expressed in %². Full definitions on the methodology page.
ADUS vs VITL: side by side
| ADUS (Addus HomeCare Corporation) | VITL (Vital Farms, Inc.) | |
|---|---|---|
| 1-year return | +2.2% | -80.1% |
| 5-year return | +31.2% | -39.5% |
| Volatility (ann.) | 27.2% | 57.5% |
| Beta vs S&P 500 | 0.41 | 0.55 |
| Max drawdown (3Y) | -34.9% | -84.2% |
| Market cap | $2.2B | $0.4B |
| P/E (trailing) | 20.7 | – |
| Dividend yield | 0.00% | 0.00% |
| Sector / category | US Listed | US Listed |
Year-by-year returns
| Year | ADUS | VITL |
|---|---|---|
| 2022 | +6.4% | -17.4% |
| 2023 | -6.7% | +5.2% |
| 2024 | +35.0% | +140.2% |
| 2025 | -14.3% | -15.3% |
| 2026 | +9.9% | -67.3% |
Calendar-year price returns; the current year is year-to-date as of the data date above.
Are ADUS and VITL good diversifiers for each other?
A fair diversifier. At 0.44, enough of each asset's movement is its own that the pair has smoothed outcomes historically.
FAQ
What is the correlation between ADUS and VITL?
The ADUS/VITL correlation stands at 0.44 on a 3-year window (1 year: 0.44, 5 years: 0.31), computed from weekly returns as of 2026-08-27.
Is VITL a good diversifier for ADUS?
A fair diversifier. At 0.44, enough of each asset's movement is its own that the pair has smoothed outcomes historically.
What does a correlation of 0.44 mean?
Correlation ranges from −1 to +1. Values near +1 mean two assets move together, near 0 that they move independently, and negative values that they tend to move in opposite directions. It measures co-movement, not performance.
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Related comparisons
Hubs: ADUS correlations · VITL correlations