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BRID vs PM

BRID
Bridgford Foods Corporation
BEARISH
Price
$7.63
Market Cap
$69.3M
Sector
Consumer Defensive
AI Confidence
85%
PM
Philip Morris International Inc.
BULLISH
Price
$155.43
Market Cap
$241.95B
Sector
Consumer Defensive
AI Confidence
92%

Valuation

P/E Ratio
BRID
--
PM
22.17
Forward P/E
BRID
--
PM
21.59
P/B Ratio
BRID
0.57
PM
-22.17
P/S Ratio
BRID
0.3
PM
6.05
EV/EBITDA
BRID
-21.55
PM
16.14

Profitability

Gross Margin
BRID
22.68%
PM
66.92%
Operating Margin
BRID
-7.66%
PM
40.75%
Profit Margin
BRID
-3.19%
PM
21.57%
ROE
BRID
-5.85%
PM
--
ROA
BRID
-3.9%
PM
14.94%

Growth

Revenue Growth
BRID
5.5%
PM
9.4%
Earnings Growth
BRID
--
PM
13.1%

Financial Health

Debt/Equity
BRID
0.06
PM
--
Current Ratio
BRID
3.54
PM
0.85
Quick Ratio
BRID
1.41
PM
0.37

Dividends

Dividend Yield
BRID
--
PM
3.78%
Payout Ratio
BRID
0.0%
PM
78.76%

AI Verdict

BRID BEARISH

The Advanced Deterministic Scorecard reveals a deeply concerning financial profile for BRID, with a Piotroski F-Score of 0/9 indicating severe weakness in fundamental health. Despite a low Price/Book and Price/Sales ratio suggesting potential value, persistent negative profitability metrics, poor earnings execution, and deteriorating ROE/ROA paint a picture of operational distress. The stock's long-term price performance reflects this decline, with a 5-year loss of 55.5%, while insider sentiment is tepid and analyst coverage is absent. Although the company maintains a strong current and quick ratio, weak earnings quality and lack of cash flow transparency undermine any recovery thesis.

Strengths
Low Price/Book ratio of 0.57 suggests potential asset-based undervaluation
Low Price/Sales ratio of 0.30 indicates cheapness relative to revenue
Strong liquidity position with Current Ratio of 3.54 and Quick Ratio of 1.41
Risks
Piotroski F-Score of 0/9 signals extreme financial weakness and high risk of continued underperformance
Negative Profit Margin (-3.19%) and Operating Margin (-7.66%) indicate ongoing unprofitability
ROE of -5.85% and ROA of -3.90% reflect poor capital efficiency and asset utilization
PM BULLISH

Philip Morris International (PM) presents a compelling investment case supported by strong profitability, consistent earnings growth, and a resilient dividend profile. Despite near-term price weakness over the past six months (-7.3%), the stock has delivered exceptional long-term returns (+153.1% over 5Y), underpinned by robust YoY EPS growth of 17.3% and a track record of beating earnings estimates in 22 of the last 25 quarters. The company’s high operating margin (40.75%) and gross margin (66.92%) reflect pricing power and cost discipline in a defensive sector, while its forward P/E of 21.59 appears justified given growth and stability. Analysts concur with a unanimous buy rating and a $185.75 target price, implying ~19.5% upside, reinforcing confidence in continued outperformance.

Strengths
Exceptional profitability with operating margin of 40.75% and gross margin of 66.92%, among the highest in consumer defensive sector
Consistent earnings growth: 13.1% YoY and 17.3% most recent Q/Q EPS growth, demonstrating strong underlying momentum
Outstanding earnings surprise record: 22 out of 25 quarters beat estimates, with an average surprise of +4.82% over the last four
Risks
Negative Price/Book ratio (-22.17) suggests deep negative equity, likely due to aggressive share buybacks exceeding retained earnings
Weak liquidity profile: current ratio of 0.85 and quick ratio of 0.37 indicate potential near-term cash flow pressure
Missing key financials (debt/equity, EV, cash/debt) limits full health assessment and raises transparency concerns

Compare Another Pair

BRID vs PM: Head-to-Head Comparison

This page compares Bridgford Foods Corporation (BRID) and Philip Morris International Inc. (PM) 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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