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EQNR vs KMI

EQNR
Equinor ASA
BEARISH
Price
$37.94
Market Cap
$94.55B
Sector
Energy
AI Confidence
85%
KMI
Kinder Morgan, Inc.
NEUTRAL
Price
$27.42
Market Cap
$61.0B
Sector
Energy
AI Confidence
72%

Valuation

P/E Ratio
EQNR
19.56
KMI
22.48
Forward P/E
EQNR
9.83
KMI
21.76
P/B Ratio
EQNR
4.69
KMI
1.98
P/S Ratio
EQNR
0.89
KMI
3.72
EV/EBITDA
EQNR
3.01
KMI
13.84

Profitability

Gross Margin
EQNR
37.03%
KMI
49.12%
Operating Margin
EQNR
21.44%
KMI
25.64%
Profit Margin
EQNR
4.76%
KMI
16.61%
ROE
EQNR
12.21%
KMI
8.88%
ROA
EQNR
12.64%
KMI
3.93%

Growth

Revenue Growth
EQNR
-5.1%
KMI
12.1%
Earnings Growth
EQNR
-27.3%
KMI
0.3%

Financial Health

Debt/Equity
EQNR
0.77
KMI
1.02
Current Ratio
EQNR
1.26
KMI
0.63
Quick Ratio
EQNR
0.98
KMI
0.4

Dividends

Dividend Yield
EQNR
4.11%
KMI
4.27%
Payout Ratio
EQNR
75.26%
KMI
95.08%

AI Verdict

EQNR BEARISH

Equinor exhibits a stable financial foundation with a Piotroski F-Score of 6/9, but it is currently trading at a severe premium to its deterministic value. The current price of $37.94 is more than double the Graham Number ($18.78) and nearly triple the growth-based intrinsic value ($13.58). This valuation gap is compounded by sharply negative growth metrics, including a 27.3% YoY decline in earnings and a 0/100 bearish technical trend. While the balance sheet is healthier than the sector average, the combination of valuation overshoot and deteriorating fundamentals suggests significant downside risk.

Strengths
Stable financial health indicated by a Piotroski F-Score of 6/9
Debt/Equity ratio (0.77) is significantly lower than the energy sector average (1.43)
Strong historical price performance with a 175.1% 5-year increase
Risks
Extreme valuation premium relative to Graham Number and Intrinsic Value
Severe earnings contraction with YoY growth at -27.30% and Q/Q at -34.20%
Bearish technical trend (0/100) indicating a potential trend reversal
KMI NEUTRAL

Kinder Morgan (KMI) trades near fair value with a current price of $27.42, modestly below the analyst target of $31.15, implying 13.6% upside. The company exhibits strong revenue growth (12.1% YoY) and solid operating margins (25.64%), outperforming sector peers on profitability and growth, though earnings growth remains muted at 0.3% YoY despite a recent acceleration in EPS. Valuation is in line with the energy sector average (P/E 22.48 vs. 22.54), but elevated payout ratio (95.08%) and insider selling raise sustainability concerns. While the 4.27% dividend yield is attractive, weak liquidity (current ratio 0.63) and high leverage (D/E 1.02) constrain financial flexibility, offsetting otherwise stable midstream fundamentals.

Strengths
Revenue growth of 12.1% YoY significantly outpaces peer average of 0.11% and positions KMI as a top performer in the midstream segment
Operating margin of 25.64% and gross margin of 49.12% reflect strong cost control and asset efficiency, well above sector averages of 8.65% profit margin and ~20% operating margin implied by ROE spread
ROE of 8.88% exceeds sector median despite higher leverage, indicating effective capital deployment relative to equity base
Risks
Earnings growth of only 0.3% YoY despite strong revenue growth suggests margin compression or one-time costs, raising concerns about profit conversion
Payout ratio of 95.08% leaves minimal buffer for dividend coverage, increasing risk of cut if cash flow dips
Debt/Equity of 1.02 is above sector average of 0.56 and peer MPC (1.43) is the only comparable, increasing refinancing and interest rate risk

Compare Another Pair

EQNR vs KMI: Head-to-Head Comparison

This page compares Equinor ASA (EQNR) and Kinder Morgan, Inc. (KMI) 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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