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GSK vs MCK

GSK
GSK plc
BULLISH
Price
$54.22
Market Cap
$108.22B
Sector
Healthcare
AI Confidence
75%
MCK
McKesson Corporation
BULLISH
Price
$842.09
Market Cap
$104.45B
Sector
Healthcare
AI Confidence
88%

Valuation

P/E Ratio
GSK
14.42
MCK
26.32
Forward P/E
GSK
10.5
MCK
22.88
P/B Ratio
GSK
4.89
MCK
-60.05
P/S Ratio
GSK
3.31
MCK
0.27
EV/EBITDA
GSK
20.42
MCK
17.07

Profitability

Gross Margin
GSK
72.61%
MCK
3.44%
Operating Margin
GSK
18.93%
MCK
1.37%
Profit Margin
GSK
17.5%
MCK
1.04%
ROE
GSK
43.31%
MCK
--
ROA
GSK
9.79%
MCK
4.78%

Growth

Revenue Growth
GSK
6.2%
MCK
10.1%
Earnings Growth
GSK
54.7%
MCK
377.0%

Financial Health

Debt/Equity
GSK
1.11
MCK
--
Current Ratio
GSK
0.82
MCK
0.88
Quick Ratio
GSK
0.5
MCK
0.47

Dividends

Dividend Yield
GSK
3.27%
MCK
0.39%
Payout Ratio
GSK
46.54%
MCK
9.22%

AI Verdict

GSK BULLISH

GSK presents a compelling value proposition characterized by a Piotroski F-Score of 4/9 (Stable) and a significant disconnect between its current price ($54.22) and its growth-based intrinsic value ($110.92). While short-term liquidity is a concern with a Current Ratio of 0.82, the company's operational efficiency is exceptional, evidenced by an ROE of 43.31% and a very low PEG ratio of 0.50. A long-term track record of earnings beats suggests strong management execution. However, the bearish technical trend (0/100) indicates that the market has not yet priced in these fundamental strengths.

Strengths
Exceptional Return on Equity (ROE) of 43.31%
Strong earnings growth with YoY EPS increase of 54.70%
Highly attractive PEG ratio of 0.50, suggesting significant undervaluation relative to growth
Risks
Weak short-term liquidity (Current Ratio 0.82, Quick Ratio 0.50)
Bearish technical trend (0/100) indicating negative price momentum
Moderate Piotroski F-Score (4/9) suggesting stable but not optimal financial health
MCK BULLISH

McKesson Corporation (MCK) presents a compelling investment case supported by robust earnings acceleration, consistent top-line growth, and strong analyst conviction, despite operating in a low-margin, capital-intensive distribution model. The stock has delivered exceptional long-term returns with a 373% five-year gain, underpinned by disciplined execution and favorable healthcare logistics tailwinds. While valuation appears stretched on P/E and the balance sheet lacks transparency, MCK trades at a significant discount to peers on price-to-sales and exhibits superior earnings momentum, with YoY EPS growth nearing 40%. Notably, insider selling raises caution, but the broader fundamental trajectory and sector positioning support continued outperformance.

Strengths
Exceptional earnings growth: 377% YoY and 360.6% QoQ earnings growth reflect strong operational leverage and cost discipline.
Consistent earnings beat record: 22 out of 25 quarters beat estimates, with 10+ consecutive beats and an average surprise of +8.9% over the last five quarters.
Attractive valuation relative to sector: P/S of 0.27 is dramatically below sector average of 1.0+ and peer group, suggesting significant undervaluation on revenue basis.
Risks
Extremely low profitability: 1.04% net margin and 1.37% operating margin reflect razor-thin returns typical of distribution, limiting downside protection.
Severe financial opacity: Missing key metrics (EV, debt, cash, shares outstanding) raises transparency concerns and impedes accurate credit and valuation analysis.
Negative Price/Book ratio (-60.05): Suggests accumulated losses or negative equity, a serious red flag for financial stability and accounting integrity.

Compare Another Pair

GSK vs MCK: Head-to-Head Comparison

This page compares GSK plc (GSK) and McKesson Corporation (MCK) 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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