PRU vs METLIFE Comparison: AI Score, Valuation, Performance and Upside
Compare Prudential Financial and MetLife by annuity exposure, international earnings mix, and capital return policy.
Use this Prudential Financial vs MetLife comparison to evaluate the key differences across valuation, growth, profitability, and risk before making an investment decision.
PRU and METLIFE are closely matched — they split the tracked metrics evenly.
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.
| Metric | PRU | METLIFE |
|---|---|---|
| AI scorei | 40.3 | N/A |
| AI ranki | #1073 | N/A |
| Latest closei | $119.45 | N/A |
| 1M returni | -0.66% | N/A |
| 6M returni | +28.04% | N/A |
| 1Y returni | +15.61% | N/A |
How much would $10,000 be worth today if invested at the start of each period, with all dividends reinvested?
| Period | PRU | METLIFE |
|---|---|---|
| 1Y ago | $11.64K (+16.4%) started 2025-09-25 | N/A |
| 5Y ago | $16.09K (+60.9%) started 2021-09-27 | N/A |
| 10Y ago | $35.39K (+253.9%) started 2016-09-26 | N/A |
Hypothetical — past performance does not guarantee future results.
| Metric | PRU | METLIFE |
|---|---|---|
| Market capi | $41.33B | N/A |
| Trailing P/Ei | 10.86 | N/A |
| Forward P/Ei | 8.06 | N/A |
| Price/Salesi | 0.62 | N/A |
| EV/Revenuei | 0.95 | N/A |
| Analyst targeti | $113.40 | N/A |
| Target upsidei | -5.33% | N/A |
| Metric | PRU | METLIFE |
|---|---|---|
| Revenue growthi | 14.10% | N/A |
| Earnings growthi | 89.20% | N/A |
| EPS growthi | +89.20% | N/A |
| FCF margini | +11.54% | N/A |
| Operating margini | 7.52% | N/A |
| Profit margini | 6.01% | N/A |
| ROIC proxyi | 12.01% | N/A |
| Return on equityi | 12.01% | N/A |
| Dividend yieldi | 4.65% | N/A |
| Payout ratioi | 49.86% | N/A |
| Dividend growth streaki | No increase yet | N/A |
| Betai | 0.83 | N/A |
| Debt/equityi | 163.89 | N/A |
| Current ratioi | 0.78 | N/A |
| Quick ratioi | 0.68 | N/A |
Lower drawdown and smaller single-period drops generally indicate a smoother ride, though they do not guarantee lower future risk.
| Period | Metric | PRU | METLIFE |
|---|---|---|---|
| 1Y | Growthi | +16.40% | N/A |
| CAGRi | +16.43% | N/A | |
| Volatilityi | 22.56% | N/A | |
| Sharpe ratioi | 0.59 | N/A | |
| Sortino ratioi | 0.79 | N/A | |
| Max drawdowni | 22.51% | N/A | |
| Current drawdowni | 4.54% | N/A | |
| Avg drawdowni | 7.71% | N/A | |
| Ulcer Indexi | 10.41% | N/A | |
| Max daily dropi | 5.99% | N/A | |
| Max wkly dropi | 9.15% | N/A | |
| 5Y | Growthi | +34.05% | N/A |
| CAGRi | +6.04% | N/A | |
| Volatilityi | 25.50% | N/A | |
| Sharpe ratioi | 0.18 | N/A | |
| Sortino ratioi | 0.25 | N/A | |
| Max drawdowni | 33.11% | N/A | |
| Current drawdowni | 5.46% | N/A | |
| Avg drawdowni | 12.38% | N/A | |
| Ulcer Indexi | 14.73% | N/A | |
| Max daily dropi | 9.98% | N/A | |
| Max wkly dropi | 16.62% | N/A | |
| 10Y | Growthi | +122.77% | N/A |
| CAGRi | +8.34% | N/A | |
| Volatilityi | 31.65% | N/A | |
| Sharpe ratioi | 0.27 | N/A | |
| Sortino ratioi | 0.38 | N/A | |
| Max drawdowni | 65.89% | N/A | |
| Current drawdowni | 5.46% | N/A | |
| Avg drawdowni | 15.29% | N/A | |
| Ulcer Indexi | 19.42% | N/A | |
| Max daily dropi | 20.11% | N/A | |
| Max wkly dropi | 35.91% | N/A |
| Category | PRU | METLIFE |
|---|---|---|
| Company | PRU | METLIFE |
| Sector | Financial Services | N/A |
| Industry | Insurance - Life | N/A |
| Core business | Prudential Financial, Inc., together with its subsidiaries, provides financial products and services in the United States, Japan and internationally. | N/A |
Compare more than two at a time
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AI score, forward P/E, analyst target upside, operating margin, and revenue growth are scored head-to-head, with a running tally of which ticker leads on how many metrics.
Volatility, Sharpe and Sortino ratios, maximum, current, and average drawdown, Ulcer Index, and worst single-day and single-week drops across every timeframe.
Pairwise daily-return correlation for every combination, so you can see whether two holdings actually diversify each other or just move together.
A scatter plot of forward P/E against return on equity, plus drawdown and 30-day rolling volatility charts, to separate what is cheap from what is merely beaten down.
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