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Stock Comparison

Compare up to 3 stocks side by side.

Stock 1
Stock 2
Stock 3
MetricAAPLNVDAMSFT
Price
Current Price$234.12$141.55$418.74
Today %+0.42%+2.18%-0.31%
52W High$260.10$152.89$468.35
52W Low$164.08$47.32$366.50
YTD Return+18.40%+184.30%+12.10%
Valuation
P/E32.4054.8035.10
Forward P/E28.7035.2030.80
P/B48.2049.8011.40
EV/EBITDA23.1041.7024.30
PEG Ratio2.801.102.20
Profitability
Gross Margin45.9%75.0%69.7%
Net Margin25.3%55.6%36.4%
ROE156.1%119.2%38.5%
ROA28.4%51.5%19.4%
FCF Yield3.4%2.1%2.4%
Growth
Revenue Growth YoY6.1%122.4%15.6%
EPS Growth YoY9.8%168.2%21.7%
Forward Rev Growth7.2%51.3%14.1%
Risk
Beta1.211.720.91
Debt/Equity1.950.420.39
Short Interest0.7%1.2%0.6%
Analyst Rating4.2 / 54.7 / 54.6 / 5
AI Comparison Summary

From a balanced investing perspective, AAPL looks like the most well-rounded pick of the group: reasonable valuation versus growth, strong profitability, and acceptable risk. NVDA offers the highest growth and best momentum but trades at a premium and carries more volatility — appropriate for higher-risk allocations.

MSFT trades at the most defensive valuation profile relative to its profitability, making it the lowest-risk anchor of the three. Pair-wise: if you can hold only one, the trade-off is growth vs. predictability.

Profile Radar
ValuationGrowthProfitabilityMomentumRisk
AAPL
NVDA
MSFT
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