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ABBV vs ACAD

ABBV
AbbVie Inc.
NEUTRAL
Price
$219.26
Market Cap
$387.52B
Sector
Healthcare
AI Confidence
68%
ACAD
ACADIA Pharmaceuticals Inc.
NEUTRAL
Price
$20.61
Market Cap
$3.51B
Sector
Healthcare
AI Confidence
78%

Valuation

P/E Ratio
ABBV
163.63
ACAD
8.96
Forward P/E
ABBV
15.42
ACAD
22.78
P/B Ratio
ABBV
-146.66
ACAD
2.86
P/S Ratio
ABBV
6.5
ACAD
3.28
EV/EBITDA
ABBV
15.27
ACAD
23.56

Profitability

Gross Margin
ABBV
71.46%
ACAD
61.01%
Operating Margin
ABBV
35.5%
ACAD
6.12%
Profit Margin
ABBV
4.0%
ACAD
36.49%
ROE
ABBV
137.96%
ACAD
39.89%
ROA
ABBV
9.59%
ACAD
4.76%

Growth

Revenue Growth
ABBV
9.1%
ACAD
9.4%
Earnings Growth
ABBV
-88.7%
ACAD
86.2%

Financial Health

Debt/Equity
ABBV
--
ACAD
0.04
Current Ratio
ABBV
0.72
ACAD
3.83
Quick Ratio
ABBV
0.47
ACAD
3.49

Dividends

Dividend Yield
ABBV
3.05%
ACAD
--
Payout Ratio
ABBV
490.15%
ACAD
0.0%

AI Verdict

ABBV NEUTRAL

The Advanced Deterministic Scorecard reveals a mixed health profile with a Piotroski F-Score of 4/9 indicating stable but not strong fundamentals, while the absence of an Altman Z-Score prevents a clear distress risk assessment. Despite robust operating margins and consistent revenue growth, the company faces significant headwinds from negative earnings growth, an extremely high P/E ratio, and a dangerously elevated payout ratio. Strong historical price performance and analyst buy sentiment are counterbalanced by bearish insider activity and deteriorating profitability trends. The stock appears to trade at a substantial premium to its intrinsic value, suggesting limited margin of safety.

Strengths
High operating margin (35.50%) indicating strong pricing power and cost control
Consistent revenue growth (9.10% YoY) outpacing sector average
Strong track record of earnings surprises (22 out of 25 quarters beat estimates)
Risks
Extremely high P/E ratio (163.63) vs forward P/E (15.42), suggesting potential overvaluation on trailing basis
Earnings growth collapsing (YoY: -88.70%, Q/Q: -88.10%) indicating severe profitability deterioration
Unsustainable dividend payout ratio (490.15%) threatening dividend security
ACAD NEUTRAL

ACAD demonstrates strong financial health with a Piotroski F-Score of 7/9, indicating solid operational efficiency and profitability. The company trades below its Graham Number ($19.31) and intrinsic value estimate ($67.85), suggesting potential undervaluation on a defensive basis. However, recent earnings growth has reversed sharply, with year-over-year EPS declining by 83.7% and Q/Q growth at -66.7%, raising concerns about sustainability. Insider selling activity over the past six months, totaling $1.17M, adds bearish sentiment despite the strong F-Score. Analysts remain optimistic with a buy recommendation and a target price of $31.85, but the current price is still significantly below intrinsic value.

Strengths
Piotroski F-Score of 7/9 indicates strong financial health and operational efficiency
High gross margin (61.01%) and profit margin (36.49%) reflect strong pricing power and cost control
Extremely low debt/equity ratio (0.04) and high current/quick ratios (3.83/3.49) signal robust liquidity and minimal financial risk
Risks
Recent earnings growth has reversed sharply: YoY EPS down 83.7%, Q/Q EPS down 66.7%
Insider selling activity (4 transactions, $1.17M) over the last 6 months indicates potential lack of confidence
Forward P/E of 22.78 is high relative to current P/E of 8.96, suggesting market expects future growth that may not materialize

Compare Another Pair

ABBV vs ACAD: Head-to-Head Comparison

This page compares AbbVie Inc. (ABBV) and ACADIA Pharmaceuticals Inc. (ACAD) across key fundamental metrics including valuation ratios, profitability margins, growth rates, financial health indicators, and dividend metrics. Each metric highlights the better-performing stock so you can quickly identify relative strengths and weaknesses.

Our AI engine independently analyzes each company's financials, competitive position, and market conditions to produce a verdict (Bullish, Neutral, or Bearish) along with key strengths and risks. Use this comparison alongside your own research to make informed investment decisions.

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