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VIVO correlations (VivoPower PLC - Class A)

VIVO measured against 4756 US stocks and ETFs: closest co-movers on one side, the best offsets on the other, all from weekly returns.

Data as of 2026-08-27 · refreshed every trading day · US Listed

Volatility (ann.)
256.4%
3y weekly
Beta vs S&P 500
0.31
3y weekly
1-year return
-23.8%
price, adjusted
5-year return
-92.6%
price, adjusted
Market cap
$0.1B
latest
Max drawdown
-89.9%
3y, daily closes
-70%0%+30%2025-09-052026-08-27
VIVO over the last 12 months, weekly closes indexed to 100 at the start.

Stocks and ETFs most correlated with VIVO

AssetCorrelation (3Y)
CADLCandel Therapeutics, Inc.0.62
ORKAOruka Therapeutics, Inc.0.44
XXII22nd Century Group, Inc0.43
DTIDrilling Tools International Corporation0.36
ABUSArbutus Biopharma Corporation0.34

Best diversifiers for VIVO

These are the assets whose returns had the least to do with VIVO's, historically the most independent picks in our universe.

AssetCorrelation (3Y)
IRONDisc Medicine, Inc.-0.38
INVEIdentiv, Inc.-0.26
CWCOConsolidated Water Co. Ltd.-0.25

VIVO vs benchmarks

Get VIVO data as JSON

Free API · no key required
$ curl https://www.pairbook.io/api/v1/symbols/vivo.json

Correlations, diversifiers, beta and volatility for VIVO, plus one endpoint per pair. API documentation.