Comparison research
AAPL vs MSFT: Stock Comparison
This page compares AAPL and MSFT using price, valuation, yield, performance, market capitalization, and risk metrics.
Data notice: Market data may be delayed, incomplete, or unavailable for some securities. Metrics are provided for informational purposes only.
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AAPL exchange: NASDAQ
MSFT exchange: NASDAQ
Side-by-side metrics
| Metric | AAPL | MSFT | Winner by category | Explanation |
|---|---|---|---|---|
| Price | $299.24 | $393.83 | Context | Share price is shown for reference only and is not treated as better or worse. |
| Market cap | $4.40T | $2.93T | AAPL | Higher market capitalization indicates larger scale in the available data set. |
| P/E ratio | 36.2 | 23.5 | MSFT | Lower P/E can provide one valuation comparison point when both securities have this metric. |
| Dividend yield | 0.35% | 0.89% | MSFT | Higher yield can matter for income-focused research when both securities report yield data. |
| Risk score | 3.8/10 | 3.2/10 | MSFT | Lower risk score is treated as the category leader for this comparison. |
Comparison insights
- AAPL is the larger company by market capitalization ($4.40T vs $2.93T), so the two represent different scale profiles.
- The P/E ratio spread is 12.8 points, so valuation context matters more than price alone.
- The 1Y performance gap is unavailable until historical data exists for both securities.
- The risk score difference is 0.6 points, giving readers a simple way to compare volatility assumptions.
Financial disclaimer
This website provides informational content only and is not financial advice. We do not recommend buying or selling securities. Market data may be delayed, incomplete, or inaccurate. Always verify information with official sources before making financial decisions.
FAQ
What is the main difference between AAPL and MSFT?
On valuation, AAPL trades at a P/E of 36.2 versus 23.5 for MSFT (a 12.8-point spread), so MSFT carries the lower multiple in the available data. On income, AAPL reports a 0.35% dividend yield against 0.89% for MSFT, so MSFT currently has the higher yield.
Which has performed better recently, AAPL or MSFT?
Trailing performance is only shown when both securities report that figure in the current data set. Past performance does not indicate future results.
Is AAPL or MSFT lower risk in this comparison?
The simple 1-10 risk score is 3.8 for AAPL and 3.2 for MSFT, so MSFT has the lower modelled risk value. This indicator is for research context only and is not financial advice.