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Harvey Norman Holdings Limited

HVN.AXASX
Consumer Cyclical
Department Stores
$4.46
$-0.07(-1.55%)
Australian Market opens in 4h 49m

Harvey Norman Holdings Limited (HVN.AX) Stock Competitors & Peer Comparison

See (HVN.AX) competitors and their performances in Stock Market.

Peer Comparison Table: Department Stores Industry

Detailed financial metrics including price, market cap, P/E ratio, and more.

SymbolPriceChange %Market CapP/E RatioEPSDividend Yield
HVN.AXA$4.46-1.55%5.7B10.09A$0.45+6.39%
BGP.AXA$3.98+0.00%886.7M18.09A$0.22+4.66%
MYR.AXA$0.27-1.82%484.6M-1.56-A$0.18+5.36%
XEN.AXA$0.00+33.33%15.5MN/AN/AN/A
AUK.AXA$0.00+0.00%8.5M-0.30-A$0.01N/A

Stock Comparison

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HVN.AX vs BGP.AX Comparison April 2026

HVN.AX plays a significant role within the Consumer Cyclical sector. Its performance reflects broader market trends and attracts considerable investor interest.

Comparing market capitalization, HVN.AX stands at 5.7B. In comparison, BGP.AX has a market cap of 886.7M. Regarding current trading prices, HVN.AX is priced at A$4.46, while BGP.AX trades at A$3.98.

To assess relative profitability and valuation, we examine the Return on Equity (ROE) and Price-to-Earnings (P/E) ratios.

HVN.AX currently has a P/E ratio of 10.09, whereas BGP.AX's P/E ratio is 18.09. In terms of profitability, HVN.AX's ROE is +0.12%, compared to BGP.AX's ROE of +0.20%. Regarding short-term risk, HVN.AX is more volatile compared to BGP.AX. This indicates potentially higher risk in terms of short-term price fluctuations for HVN.AX.Check BGP.AX's competition here

Stock price comparison of stocks in the Consumer Cyclical Sector

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