Stock Performance Comparison
MA Stock Analysis
MA
Mastercard Incorporated - Class A
V Stock Analysis
V
Visa Inc - Class A
Current Market Data
Metric | MA | V |
---|---|---|
Current Price | $589.00 | $343.20 |
Daily Change | -0.62% | -0.21% |
Volume | 33,988 | 68,194 |
Market Cap | $538.18B | $644.12B |
Exchange | NYSE | NYSE |
Performance Analysis
Performance Metric | MA | V |
---|---|---|
YTD Return | +13.94% | +9.95% |
1-Month Return | +6.86% | -1.83% |
3-Month Return | +4.20% | -3.84% |
6-Month Return | +6.61% | -0.98% |
Volatility (Annualized) | 21.9% | 22.6% |
52-Week Range | $459.30 - $593.91 | $263.46 - $374.85 |
Distance from 52-Week High | -0.21% | -8.25% |
Investment Performance Comparison
$1,000 Investment Growth
Valuation Analysis
Valuation Metric | MA | V |
---|---|---|
P/E Ratio | 39.61 | 31.75 |
P/B Ratio | 68.53 | 16.66 |
PEG Ratio | 2.44 | 2.63 |
Enterprise Value | $545.24B | $647.39B |
Dividend Analysis
Dividend Metric | MA | V |
---|---|---|
Dividend Yield | 0.50% | 0.69% |
Dividend Per Share | $0.76 | $0.59 |
Payout Ratio | 19.7% | 21.8% |
Ex-Dividend Date | Jul 9, 2025 | Aug 12, 2025 |
Dividend Frequency | Quarterly | Quarterly |
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Compare individual stocks:
MA Analysis |
V Analysis
Understanding Stock Comparison Metrics
Learn how to interpret the financial metrics used in our MA vs V comparison and make informed investment decisions.
📊 Current Market Data
Current Price
The most recent trading price of the stock during market hours. This reflects the current market valuation and investor sentiment.
Daily Change
The absolute and percentage change in stock price from the previous trading day's close. Positive values indicate gains, negative values indicate losses.
Volume
The number of shares traded in the current session. Higher volume often indicates increased investor interest and can signal potential price movements.
Market Cap
Market Capitalization = Current Price × Outstanding Shares. This represents the total value of all company shares and categorizes companies as small-cap, mid-cap, or large-cap.
Exchange
The stock exchange where the security is primarily traded (NYSE, NASDAQ, etc.). Different exchanges have varying listing requirements and trading characteristics.
📈 Performance Analysis
YTD Return (Year-to-Date)
The percentage gain or loss from January 1st to the current date. This shows how the stock has performed during the current calendar year.
Monthly Returns (1M, 3M, 6M)
Short-term performance over 1, 3, and 6-month periods. These metrics help identify recent trends and momentum in stock price movement.
Volatility (Annualized)
A measure of how much the stock price fluctuates, expressed as an annual percentage. Higher volatility indicates more price uncertainty but potentially higher returns.
52-Week Range
The highest and lowest prices reached over the past 52 weeks. This provides context for the current price relative to recent historical performance.
Distance from 52-Week High
How far below (or above) the stock's 52-week high the current price sits, expressed as a percentage. Values closer to 0% indicate the stock is near its peak.
💰 Valuation Analysis
P/E Ratio (Price-to-Earnings)
Current Price ÷ Earnings Per Share. This shows how much investors are willing to pay for each dollar of earnings. Lower P/E ratios may indicate undervalued stocks.
P/B Ratio (Price-to-Book)
Market Price ÷ Book Value Per Share. This compares the market valuation to the company's accounting value. Ratios below 1 may suggest undervaluation.
PEG Ratio (Price/Earnings-to-Growth)
P/E Ratio ÷ Expected Earnings Growth Rate. This adjusts the P/E ratio for growth expectations. PEG ratios below 1 may indicate good value for growth investors.
Enterprise Value
Market Cap + Total Debt - Cash. This represents the theoretical takeover price and provides a more complete valuation picture than market cap alone.
💎 Dividend Analysis
Dividend Yield
Annual Dividends ÷ Current Price × 100. This shows the annual dividend income as a percentage of your investment. Higher yields provide more income but may indicate higher risk.
Dividend Per Share
The actual dollar amount paid per share annually. This absolute measure helps calculate total dividend income from your holdings.
Payout Ratio
Dividends ÷ Earnings × 100. This shows what percentage of earnings are paid as dividends. Lower ratios suggest more sustainable dividend payments.
Ex-Dividend Date
The date after which new buyers won't receive the upcoming dividend payment. You must own shares before this date to receive the dividend.
Dividend Frequency
How often dividends are paid (quarterly, monthly, annually). Most U.S. companies pay quarterly, while some REITs and utilities pay monthly.
📊 Investment Comparison Chart
Our investment comparison chart shows the hypothetical growth of $1,000 invested in each stock over various time periods. This visualization helps you understand:
- Total Return Performance: Which stock would have generated better returns
- Volatility Patterns: How much each investment fluctuated over time
- Risk-Adjusted Returns: Whether higher returns justified additional risk
- Time Period Sensitivity: How performance varies across different investment horizons
Important: Past performance does not guarantee future results. This analysis assumes reinvestment of dividends and does not account for taxes or trading costs.
🎯 How to Use This Stock Comparison
For Value Investors:
Focus on P/E, P/B, and PEG ratios. Look for stocks trading below their peers with strong fundamentals.
For Growth Investors:
Examine YTD returns, volatility, and distance from 52-week highs. Consider PEG ratios for growth-adjusted valuations.
For Income Investors:
Prioritize dividend yield, payout ratio, and dividend frequency. Ensure yields are sustainable and payments are regular.
For Risk-Conscious Investors:
Analyze volatility, 52-week ranges, and market cap for stability indicators. Larger companies typically offer more stability.
Investment Disclaimer
This comparison is for educational purposes only and should not be considered as personalized investment advice. Always conduct your own research and consider consulting with a qualified financial advisor before making investment decisions. Past performance does not guarantee future results.