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AXIA vs CMS

AXIA
AXIA Energia SA
BEARISH
Price
$10.31
Market Cap
$23.18B
Sector
Utilities
AI Confidence
78%
CMS
CMS Energy Corporation
NEUTRAL
Price
$76.27
Market Cap
$23.49B
Sector
Utilities
AI Confidence
85%

Valuation

P/E Ratio
AXIA
--
CMS
21.67
Forward P/E
AXIA
10.44
CMS
18.28
P/B Ratio
AXIA
1.16
CMS
2.62
P/S Ratio
AXIA
0.54
CMS
2.75
EV/EBITDA
AXIA
69.71
CMS
14.1

Profitability

Gross Margin
AXIA
52.3%
CMS
41.53%
Operating Margin
AXIA
-34.96%
CMS
21.68%
Profit Margin
AXIA
-14.11%
CMS
12.54%
ROE
AXIA
-5.21%
CMS
10.86%
ROA
AXIA
-0.74%
CMS
3.15%

Growth

Revenue Growth
AXIA
-9.4%
CMS
12.3%
Earnings Growth
AXIA
--
CMS
6.6%

Financial Health

Debt/Equity
AXIA
0.69
CMS
1.95
Current Ratio
AXIA
1.92
CMS
0.98
Quick Ratio
AXIA
1.17
CMS
0.52

Dividends

Dividend Yield
AXIA
5.09%
CMS
2.99%
Payout Ratio
AXIA
9.24%
CMS
61.56%

AI Verdict

AXIA BEARISH

AXIA exhibits severe financial distress with a Piotroski F-Score of just 2/9, indicating weak fundamental health. Despite a strong 52-week price performance (+90.8% in 1Y), the company is unprofitable (Profit Margin: -14.11%, ROE: -5.21%), shrinking (Revenue Growth YoY: -9.40%), and has consistently missed earnings estimates (1/4 beats in last 4 quarters, average surprise: -40.07%). While the stock appears cheap on forward P/E (10.44) and offers a high dividend yield (5.09%), these are misleading given the lack of earnings sustainability and negative cash flow visibility. The absence of Altman Z-Score and key financials like debt, cash, and EBITDA raises transparency concerns, further undermining confidence.

Strengths
High dividend yield of 5.09% with very low payout ratio (9.24%), suggesting dividend sustainability if earnings stabilize
Attractive forward P/E of 10.44 compared to sector average of 24.81, implying potential undervaluation if turnaround succeeds
Strong gross margin of 52.30%, indicating pricing power or efficient production in its renewable operations
Risks
Piotroski F-Score of 2/9 signals severe financial weakness and high risk of continued underperformance
Negative profitability across all metrics: profit margin (-14.11%), operating margin (-34.96%), and ROE (-5.21%)
Revenue declining YoY (-9.40%) with inconsistent earnings and large negative surprises, including a -103.2% miss in Q1 2025
CMS NEUTRAL

CMS Energy exhibits strong operational performance and a remarkable earnings track record, but it is currently trading at a significant premium to its deterministic value. With a Piotroski F-Score of 4/9, the company's financial health is stable but not strong, further complicated by a current ratio below 1.0. While the company outperforms sector averages in ROE and profit margins, the current price of $76.27 far exceeds both the Graham Number ($48.02) and the Intrinsic Value ($59.49). The combination of bearish insider sentiment and a high PEG ratio suggests limited immediate upside at current valuation levels.

Strengths
Exceptional earnings consistency with beats in nearly all of the last 25 quarters
Superior ROE (10.86%) compared to the sector average (-4.61%)
Strong profit margins (12.54%) significantly exceeding sector peers
Risks
Significant overvaluation relative to Graham Number and Intrinsic Value
Liquidity concerns indicated by a Current Ratio of 0.98 and Quick Ratio of 0.52
High Debt/Equity ratio (1.95) exceeding the sector average

Compare Another Pair

AXIA vs CMS: Head-to-Head Comparison

This page compares AXIA Energia SA (AXIA) and CMS Energy Corporation (CMS) 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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