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Read two to four stocks on the same scale — return, valuation and volatility in one table.
Selected6M Return
Period Return
Each series is converted to a percentage of its own starting point, so all of them begin at zero. What is compared is the return over the period, not price levels.
| Metric | AAPL | MSFT | AMGN |
|---|---|---|---|
| Return | |||
| Last Price | 319.97 | 499.70 | 437.23 |
| Daily Change | − 2.51% | − 2.04% | − 1.55% |
| Period ReturnPast 6 Months | + 17.23% | + 24.39% | + 15.26% |
| Valuation | |||
| Market Cap | $4.70 T | $3.71 T | $236 B |
| P/E Ratio | 36.68 | — | 27.15 |
| Dividend Yield | 0.51% | — | 3.21% |
| Net MarginTrailing 12M | 27.6% | — | 23.0% |
| Risk | |||
| Beta | 1.10 | — | 0.45 |
| 52-Week Range | 225.95 — $344.57 | — | 269.77 — $447.03 |
| Company | |||
| Sector | Information Technology | Information Technology | Health Care |
| Industry | Technology | Technology | Biotechnology |
Company
- AAPLInformation Technology · Technology
- MSFTInformation Technology · Technology
- AMGNHealth Care · Biotechnology
Metrics could not be loaded for MSFT: P/E, dividend, beta and the 52-week range stay empty in that column.
FinnhubUpdated 23:00
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