Data as of:
brimindinvest.com / compare / abbv-vs-aznLIVE
ABBV
ABBV ·
$263.04
+5.44% this month
VERSUS
COMPARE
AZN
AZN ·
$161.85
+3.45% this month
Comparison scoreboard
ABBV LEADS 3/5
AI Scorei
ABBV 53.2
AZN 42.3
1Y Returni
ABBV +20.88%
AZN +4.76%
Fwd P/Ei
ABBV 15.79
AZN 14.10
Target Up.i
ABBV +7.85%
AZN +32.92%
Op. Margini
ABBV 40.03%
AZN 23.46%
Metrics last refreshed: 9/16/2026
Quick take

ABBV vs AZN Comparison: AI Score, Valuation, Performance and Upside

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Compare AbbVie's Skyrizi/Rinvoq-led recovery from Humira's patent cliff against AstraZeneca's oncology pipeline depth and international sales mix.

Use this AbbVie vs AstraZeneca comparison to evaluate the key differences across valuation, growth, profitability, and risk before making an investment decision.

Live analysis · updated 9/16/2026

ABBV holds the edge across 3 of 5 key metrics in this comparison. ABBV has delivered stronger 1-year price return (+20.88% vs +4.76%), though AZN has the better forward P/E setup (14.10x vs 15.79x for ABBV). ABBV leads on both revenue growth (10.20%) and operating margin (40.03%), suggesting a stronger fundamental setup on both dimensions. Analyst consensus implies meaningfully more upside for AZN (+32.92%) than for ABBV (+7.85%).

Normalized 1Y performance
ABBV
AZN
Recent returns
ABBV
AZN
Analyst price targets & sentiment

Human Wall Street analysts' price targets, typically implying a ~12-month view — a separate signal from this site's own AI Prediction Signal further down the page, which is a 5-/30-day machine-learning forecast based on price history alone.

ABBV · 27 analysts
STRONG BUYHOLDSTRONG SELL
Buy (2.0/5.0)
24 Buy / 5 Hold / 1 Sell
Price target range
analyst low$170.00
analyst mean$277.31
current price$263.04
+7.9% upside to analyst mean
AZN
Price target range
analyst mean$212.90
current price$161.85
+32.9% upside to analyst mean
Performance & AI score
Performance & AI score
MetricABBVAZN
AI scorei53.242.3
AI ranki#353#954
Latest closei$263.04$161.85
1M returni+5.44%+3.45%
6M returni+19.69%-15.39%
1Y returni+20.88%+4.76%
$10,000 invested — hypothetical growth (dividends reinvested)

How much would $10,000 be worth today if invested at the start of each period, with all dividends reinvested?

$10,000 invested — hypothetical growth (dividends reinvested)
PeriodABBVAZN
1Y ago$12.16K (+21.6%)
started 2025-09-16
$10.58K (+5.8%)
started 2025-09-15
5Y ago$32.94K (+229.4%)
started 2021-09-17
$17.5K (+75.0%)
started 2021-09-15
10Y ago$94.76K (+847.6%)
started 2016-09-19
$43.07K (+330.7%)
started 2016-09-15

Hypothetical — past performance does not guarantee future results.

Valuation & upside potential
Valuation & upside potential
MetricABBVAZN
Market capi$454.36B$248.41B
Trailing P/Ei72.4323.98
Forward P/Ei15.7914.10
Price/Salesi5.85N/A
EV/Revenuei8.064.50
Analyst targeti$277.31$212.90
Target upsidei+7.85%+32.92%
Growth, profitability & risk
Growth, profitability & risk
MetricABBVAZN
Revenue growthi10.20%6.40%
Earnings growthi290.40%2.50%
EPS growthi+290.40%+2.50%
FCF margini+26.20%+7.99%
Operating margini40.03%23.46%
Profit margini9.80%17.02%
ROIC proxyi6225.00%21.96%
Return on equityi6225.00%21.96%
Dividend yieldi2.69%2.00%
Payout ratioi190.40%47.41%
Dividend growth streakiNo increase yet2 yrs
Betai0.280.20
Debt/equityi4789.6064.22
Current ratioi0.810.89
Quick ratioi0.490.66
Correlation

Over the past year, ABBV and AZN have moved moderately in the same direction (correlation of 0.44), based on daily returns.

1Y
0.44
-1.0+1.0
5Y
0.37
-1.0+1.0
10Y
0.37
-1.0+1.0
Drawdown & downside risk

Lower drawdown and smaller single-period drops generally indicate a smoother ride, though they do not guarantee lower future risk.

1Y risk snapshot
ABBV max drawdowni19.23%
AZN max drawdowni25.41%
ABBV max wkly dropi8.49%
AZN max wkly dropi14.82%
5Y risk snapshot
ABBV max drawdowni21.92%
AZN max drawdowni27.87%
ABBV max wkly dropi17.30%
AZN max wkly dropi14.82%
10Y risk snapshot
ABBV max drawdowni45.09%
AZN max drawdowni27.87%
ABBV max wkly dropi19.39%
AZN max wkly dropi16.45%
Performance metrics by period
Performance metrics by period
PeriodMetricABBVAZN
1YGrowthi+21.63%+4.76%
CAGRi+21.68%+4.77%
Volatilityi26.51%28.47%
Sharpe ratioi0.700.15
Sortino ratioi1.080.22
Max drawdowni19.23%25.41%
Current drawdowni1.10%22.42%
Avg drawdowni7.66%8.18%
Ulcer Indexi9.00%11.17%
Max daily dropi5.20%6.88%
Max wkly dropi8.49%14.82%
5YGrowthi+182.09%+58.00%
CAGRi+23.06%+9.58%
Volatilityi23.39%24.87%
Sharpe ratioi0.820.31
Sortino ratioi1.140.44
Max drawdowni21.92%27.87%
Current drawdowni1.10%22.42%
Avg drawdowni8.02%9.57%
Ulcer Indexi9.98%11.91%
Max daily dropi12.57%8.83%
Max wkly dropi17.30%14.82%
10YGrowthi+506.11%+215.84%
CAGRi+19.76%+12.19%
Volatilityi26.03%25.14%
Sharpe ratioi0.650.41
Sortino ratioi0.910.58
Max drawdowni45.09%27.87%
Current drawdowni1.10%22.42%
Avg drawdowni11.55%8.26%
Ulcer Indexi15.57%10.63%
Max daily dropi16.25%14.91%
Max wkly dropi19.39%16.45%
AI Prediction Signali
Members only
Next 5 trading days
ABBV
+2.8%BUY
AZN
+1.1%HOLD
Next 30 trading days
ABBV
+6.4%BUY
AZN
+3.2%HOLD

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Business comparison
Business comparison
CategoryABBVAZN
CompanyABBVAZN
SectorHealthcareHealthcare
IndustryDrug Manufacturers - GeneralDrug Manufacturers - General
Core businessAbbVie Inc., a research-based biopharmaceutical company, engages in the research and development, manufacturing, commercializing, and sale of medicines and therapies worldwide.AstraZeneca PLC, a biopharmaceutical company, focuses on the discovery, development, manufacture, and commercialization of prescription medicines.
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