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Read two to four stocks on the same scale — return, valuation and volatility in one table.

Selected6M Return
  • AAPLApple Inc+ 17.91%
  • MSFTMicrosoft Corp+ 24.57%
  • AMGNAmgen Inc+ 15.22%
  • CVXChevron Corp+ 13.21%

Four symbols is the limit; remove one to add another.

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.

AAPL+ 17.9%MSFT+ 24.6%AMGN+ 15.2%CVX+ 13.2%Tap or hover the chart for values along the way
MetricAAPLMSFTAMGNCVX
Return
Last Price321.68500.60436.90208.49
Daily Change− 1.99%− 1.87%− 1.63%− 1.34%
Period ReturnPast 6 Months
+ 17.91%
+ 24.57%
+ 15.22%
+ 13.21%
Valuation
Market Cap$4.72 T$3.72 T$236 B$415 B
P/E Ratio36.8827.8927.1319.99
Dividend Yield0.51%0.79%3.21%4.17%
Net MarginTrailing 12M27.6%40.3%23.0%9.9%
Risk
Beta1.101.060.450.49
52-Week Range225.95 — $344.57349.20 — $553.72269.77 — $447.03146.49 — $214.71

Company

  • AAPLInformation Technology · Technology
  • MSFTInformation Technology · Technology
  • AMGNHealth Care · Biotechnology
  • CVXEnergy · Energy

FinnhubUpdated 21:59

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