Free Stock & ETF Comparisons
1622+ side-by-side comparisons with AI scores, valuation metrics, performance charts, analyst targets, and investor takeaways. No sign-in required.
- AI investment scores (0–100) for each stock
- Valuation metrics: P/E, forward P/E, PEG, EV/EBITDA
- Performance charts across 1M to 10Y timeframes
- Analyst price targets and upside estimates
- AI-written investor thesis and side-by-side takeaways
Browse Comparisons
Compare BlackRock and Schwab by iShares ETF fees, net interest income recovery, Aladdin technology, RIA custody, and financial services investing.
Compare Dave and SoFi by cash advance model, bank charter advantage, Galileo infrastructure revenue, and digital banking investment.
Compare Accolade and Teladoc by employer digital health strategy, BetterHelp mental health, member engagement, and virtual care investing.
Compare Ballard Power and Plug Power by fuel cell technology, electrolyzer deployment, IRA hydrogen credits, and clean energy investing.
Compare Walgreens and CVS by pharmacy retail strategy, PBM business, Aetna insurance, and integrated healthcare investing.
Compare Kinross Gold and Newmont by AISC, gold production profile, mine portfolio, dividend yield, and gold mining investment.
Compare Archer-Daniels-Midland and Bunge by oilseed crush margins, grain merchandising, Viterra merger, and agribusiness investing.
Compare CarMax and Carvana by GPU, used car market strategy, financing income, omnichannel vs digital model, and auto retail investing.
Compare Broadcom and Texas Instruments by AI networking revenue, analog chip cyclicality, dividend growth, free cash flow yield, and long-term valuation.
Compare Micron and Intel by HBM memory demand for AI, data center exposure, manufacturing strategy, operating margins, and analyst upside.
Compare Micron Technology and Qualcomm by AI-driven HBM demand, mobile handset cycle, data center revenue growth, margins, and analyst upside.
Compare Qualcomm and Texas Instruments by wireless technology royalties, analog chip cycle, AI edge device exposure, dividend yield, and long-term value.
Compare Autodesk and ANSYS by design software ARR growth, simulation and AI adoption, M&A activity, operating margins, and analyst upside.
Compare Workday and Oracle by cloud subscription growth, ERP transition momentum, operating margins, customer retention, and valuation.
Compare Microsoft and IBM by Azure vs hybrid cloud revenue, AI consulting growth, enterprise software renewal, dividend yield, and analyst upside.
Compare Palantir and Datadog by AI platform revenue growth, government vs commercial mix, net revenue retention, profitability path, and analyst upside.
Compare Palo Alto Networks and Check Point Software by platform consolidation momentum, SASE adoption, revenue growth, operating margins, and long-term value.
Compare Arista Networks and Juniper Networks by AI cluster switch revenue, cloud titan customer concentration, software transition, margins, and analyst upside.
Compare Tesla and NIO by global EV delivery volumes, software monetisation, China market competition, battery technology, and analyst upside.
Compare Tesla and Toyota by electric vehicle strategy, software-defined vehicle transition, global production scale, profitability, and long-term automotive positioning.
Compare Ferrari and Tesla by brand pricing power, electrification strategy, revenue per vehicle, operating margins, and valuation premium.
Compare Ferrari and Ford by vehicle pricing power, EV transition investment, brand exclusivity vs mass appeal, operating margins, and long-term shareholder value.
Compare Nike and Under Armour by revenue growth, direct-to-consumer penetration, international expansion, brand equity, and analyst upside.
Compare Nike and Foot Locker by direct-to-consumer share, wholesale dependency, footwear market dynamics, and who benefits most from sneaker culture growth.
Compare Ulta Beauty and e.l.f. Cosmetics by revenue growth, beauty retail market share, operating margins, pricing strategy, and analyst upside.
Compare Ulta Beauty and Sally Beauty by prestige vs professional beauty mix, loyalty program strength, salon supply trends, operating margins, and analyst upside.
Compare Las Vegas Sands and MGM Resorts by Macau exposure, Las Vegas revenue, gaming and hospitality margins, digital betting potential, and analyst upside.
Compare Hasbro and Mattel by entertainment content licensing, toy portfolio strength, digital gaming pivot, operating margins, and analyst upside.
Compare Disney and Comcast by streaming subscriber trajectory, theme park revenue, broadband growth, NBCUniversal content, and long-term shareholder value.
Compare Chipotle and Yum! Brands by same-store sales growth, international franchise expansion, digital order penetration, margins, and valuation.
Compare Yum! Brands and Domino's by global unit growth, digital ordering penetration, franchise royalty revenue, margins, and dividend yield.
Compare McDonald's and Yum China by China consumer spending exposure, franchise royalty growth, same-store sales momentum, and analyst upside.
Compare Chipotle and Domino's by same-store sales, unit expansion rate, digital order penetration, margins, and franchise vs company-owned model.
Compare Booking Holdings and TripAdvisor by travel booking revenue, hotel and experience inventory, AI-driven personalization, monetisation model, and analyst upside.
Compare Amazon and Target by e-commerce penetration, private label strength, advertising revenue, supply chain investment, and long-term retail value.
Compare Reddit and Meta by advertising revenue growth, daily active user trends, AI content tools, monetisation per user, and analyst upside.
Compare Roku and Amazon by connected TV advertising revenue, streaming hours, The Roku Channel vs Prime Video content strategy, and platform monetisation.
Compare ConocoPhillips and EOG Resources by Permian Basin production, capital return programs, break-even oil price, dividend yield, and long-term reserve quality.
Compare SLB and Halliburton by international vs North America revenue mix, technology differentiation, operating margins, and analyst upside.
Compare SLB and NOV Inc by technology service revenue, international drilling exposure, equipment cycle sensitivity, operating margins, and analyst upside.
Compare Kinder Morgan and Williams Companies by gas throughput, dividend sustainability, infrastructure growth projects, balance sheet strength, and valuation.
Compare Kinder Morgan and Enterprise Products Partners by natural gas infrastructure footprint, distribution coverage, growth capex, and income investor value.
Compare ConocoPhillips and APA Corporation by production growth, Permian and international asset quality, balance sheet strength, and capital return programs.
Compare ExxonMobil and BP by Permian vs North Sea production, low-carbon investment, dividend sustainability, refining margins, and analyst upside.
Compare Marathon Oil and Devon Energy by Permian Basin production growth, dividend-plus-variable payout model, oil price leverage, and analyst upside.
Compare Enbridge and Enterprise Products Partners by oil sands vs NGL transportation revenue, dividend safety, project backlog, and income investor value.
Compare Energy Transfer and Enterprise Products Partners by distribution coverage, pipeline and terminal network, debt levels, distribution growth, and midstream value.
Compare NextEra Energy and Duke Energy by renewable capacity additions, regulated rate base growth, dividend track record, debt levels, and analyst upside.
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