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Performance analysis of FinVolution Group (FINV)

Annual Return

Over the past 3 years, FINV has had an average annual return of +13.08%, underperforming the benchmark SPY, which returned +22.45% annual.

Over the past 5 years, FINV has had an average annual return of -5.23%, underperforming the benchmark SPY, which returned +13.88% annual.

Since Nov 10, 2017, FINV has had an average annual return of -6.15%, underperforming the benchmark SPY, which returned +15.11% annual.

2026202520242023202220212020201920182017
+4.03%-20.01%+45.36%+4.41%+5.99%+89.31%+8.06%-22.93%-49.37%-45.64%

Monthly Return

YearJanFebMarAprMayJunJulAugSepOctNovDecAnnually Total
2026-1.92%+9.55%-14.77%+10.15%+5.84%-2.57%+4.03%
2025+12.52%+7.86%+16.87%-14.71%+5.68%+13.40%-9.39%-3.96%-10.67%-17.10%-18.32%+4.81%-20.01%
2024-1.85%+8.74%-3.63%-0.71%+0.20%-0.20%+16.97%-5.02%+16.61%-1.94%+15.17%-2.72%+45.36%
2023+10.68%-7.64%-17.76%+0.88%-3.03%+19.20%+27.60%-14.48%-0.79%-5.02%-6.34%+10.62%+4.41%
2022-19.87%+3.02%-2.46%-0.23%+11.96%+12.84%-11.78%+17.43%-13.02%+1.41%+7.60%+6.21%+5.99%
2021+29.23%+62.90%+24.75%-1.88%+12.07%+26.59%-31.40%-6.75%-7.39%+8.52%-4.08%-16.02%+89.31%
2020-23.76%-1.98%-10.09%+15.72%-20.86%+19.08%+12.16%-6.43%-3.13%+10.32%+7.40%+22.44%+8.06%
2019-1.09%+35.38%-21.57%+44.57%-9.77%-7.64%-10.80%-3.64%-22.45%-3.45%+4.64%-9.55%-22.93%
2018+7.60%-7.45%+5.23%-8.73%+9.25%-19.91%-23.70%+43.16%-17.23%+6.13%-2.79%-35.14%-49.37%
2017-26.61%-25.93%-45.64%

Drawdown analysis of FinVolution Group (FINV)

The maximum drawdown for the FINV was -89.65%, occurring on Mar 18, 2020. Recovery took 1256 trading sessions.

The current FINV drawdown is -48.67%.

Since Nov 10, 2017 FINV has experienced the following drawdowns:

  • 50% or more: 2 times
  • 40% or more: 2 times
  • 30% or more: 3 times
  • 20% or more: 3 times
  • 10% or more: 3 times
DepthStartTo BottomBottomTo RecoverEndTotal
-89.65%Nov 13, 2017588Mar 18, 20201256Mar 18, 20251844
-56.41%Jul 11, 2025178Mar 26, 2026OngoingOngoingOngoing
-31.90%Mar 18, 202523Apr 21, 202556Jul 11, 202579