Skip to Content

Find Comparable Stocks for Carrier Global Corporation

Carrier Global Corporation

CARR - NYQ
Technology
Air-cond & Warm Air Heatg Equip & Comm & Indl Refrig Equip
Country
USA
Market Cap
$56.6B
Dividend Yield
1%
Beta
1.23 (Average)
Trading Volume
3.4M (Moderate)
Momentum
Very Weak Weak Very Strong
Value vs. Growth
Deep Value Fair Value Rapid Growth
Quality
Poor Average Excellent
Size
Micro Large Mega Cap

Carrier Global Corporation is an American multinational home appliances corporation based in Palm Beach Gardens, Florida.

Valuation
Financials
Momentum
Analyst Ratings
Trailing P/E
51.73
Forward P/E
21.10
PEG Ratio
422.01
Price/Book
3.88
EV/EBITDA
15.52
EV/Revenue
2.82

Income Statement

Revenue (TTM)
$22.5B
Gross Profit (TTM)
$6.0B
EBITDA
$3.5B

Financial Ratios

Profit Margin
25%
Operating Margin (TTM)
7%
Gross Profit Margin
27%
EBITDA Margin
15%
ROE (TTM)
10%
ROA (TTM)
4%

Growth

Quarterly Revenue Growth (YoY)
19%
Quarterly Earnings Growth (YoY)
481%
52-Week Range
$52.69
$65.49
$82.82
50-Day Moving Average
$66.90
Price vs. 50-Day MA
-2.11%
200-Day Moving Average
$69.98
Price vs. 200-Day MA
-6.42%
Analyst Ratings Distribution
1
0
13
8
3
Strong Sell Strong Buy
Median Price Target
$79.42
Price to Target
82%

AT&T Inc.

T - NYQ
View T's Comps
B+
TaxGhost's "TG Grade" is calculated from 100+ datapoints including fundamental metrics, factors, country, correlation, sub-sector, and more.
Technology
Telephone Communications (no Radiotelephone)
Market Cap: $196.8B
Volume: 39.5M (High)
Beta: 0.73 (Low)
Dividend Yield: 4%
Strong Momentum
Value
Good Quality
Large Cap

AT&T Inc. is an American multinational conglomerate holding company, Delaware-registered but headquartered at Whitacre Tower in Downtown Dallas, Texas. It is the world largest telecommunications company, and the second largest provider of mobile telephone services.

Compare
Valuation
Financials
Momentum
Ratings

correlation
C+

correlation

Measures how closely the two stocks' prices move together over time. A high correlation suggests similar market reactions and investor sentiment.

Pearson Correlation: 11%

R-squared: 1%

This indicates a negligible relationship between the price movements of these stocks.

financials
B

financials

Compares key financial metrics to assess operational similarity and financial health.

  • Revenue Growth: 19% vs 1%
  • Profit Margin: 25% vs 9%
  • ROE: 10% vs 10%
  • Operating Margin: 7% vs 18%
  • Revenue (TTM): $22.5B vs $122.3B

A high score indicates similar financial performance, efficiency, and growth trajectories, suggesting comparable business models and market positions.

size
A

size

Evaluates similarity in market capitalization, which can indicate comparable market influence, investor interest, and resource availability.

Market Cap: $56.6B vs $196.8B

Size Category: Large Cap vs Large Cap

A high score suggests the companies are in the same size category, facing similar challenges and opportunities in terms of market presence and financial flexibility.

valuation
B

valuation

Compares valuation metrics to assess if the stocks are valued similarly by the market, indicating comparable investor expectations and perceived growth potential.

  • P/E Ratio: 53.68 vs 18.40
  • P/B Ratio: 3.88 vs 1.89
  • EV/EBITDA: 15.52 vs 7.59
  • Forward P/E: 21.10 vs 13.53
  • PEG Ratio: 422.01 vs 4.67

A high score indicates that the market values these companies similarly relative to their financials, suggesting comparable growth expectations and risk profiles.

sector
A+

sector

Compares the sector and industry classification of both companies, allowing for partial matches.

  • Sector: TECHNOLOGY vs TECHNOLOGY
  • Industry: AIR-COND & WARM AIR HEATG EQUIP & COMM & INDL REFRIG EQUIP vs TELEPHONE COMMUNICATIONS (NO RADIOTELEPHONE)

A high score indicates that the companies operate in similar business areas, facing comparable market conditions, regulatory environments, and industry trends. Partial matches are considered for more nuanced comparisons.

analyst ratings
A+

analyst ratings

Compares the consensus of analyst opinions on both stocks.

  • CARR Rating: Hold
  • T Rating: Buy

A high score suggests that analysts view both stocks similarly in terms of their future prospects and investment potential.

geo
A+

geo

Evaluates the geographical similarity of the companies based on country, currency, exchange, and address.

  • CARR Country: USA
  • T Country: USA
  • Currency: USD vs USD
  • Exchange: NYQ vs NYQ

A high score indicates that both companies operate in similar geographical markets, facing comparable economic conditions, regulations, and market dynamics.

volatility
A-

volatility

Compares price volatility and risk profiles, indicating similarity in market behavior, risk, and potential for price swings.

  • CARR Beta: 1.23 (Average)
  • T Beta: 0.73 (Low)

A high score suggests both stocks have similar sensitivity to market movements, implying comparable risk levels and potential for both gains and losses.

business similarity
B-

business similarity

Assesses the similarity of the companies' business models, products, and services.

This score is based on an analysis of the companies' business descriptions, major products, and revenue streams.

A high score indicates that the companies have similar core businesses, target markets, and revenue generation strategies.

momentum
A+

momentum

Compares recent price momentum, showing similarity in short-term market performance and investor sentiment.

  • CARR Price vs 200-day MA: 93.58%
  • T Price vs 200-day MA: 129.11%

A high score indicates both stocks are experiencing similar price trends relative to their recent history, suggesting comparable market enthusiasm or concern.

dividend
B

dividend

Compares dividend policies, showing similarity in shareholder return strategies and income potential for investors.

  • CARR Dividend Yield: 1%
  • T Dividend Yield: 4%

A high score indicates similar approaches to returning capital to shareholders, suggesting comparable appeal to income-focused investors.

Trailing P/E
18.40
Forward P/E
13.53
PEG Ratio
4.67
Price/Book
1.89
EV/EBITDA
7.59
EV/Revenue
2.73

Income Statement

Revenue (TTM)
$122.3B
Gross Profit (TTM)
$73.1B
EBITDA
$44.0B

Financial Ratios

Profit Margin
9%
Operating Margin (TTM)
18%
Gross Profit Margin
N/A
EBITDA Margin
N/A
ROE (TTM)
10%
ROA (TTM)
4%

Growth

Quarterly Revenue Growth (YoY)
1%
Quarterly Earnings Growth (YoY)
88%
52-Week Range
$15.31
$27.41
$27.49
50-Day Moving Average
$23.86
Price vs. 50-Day MA
14.88%
200-Day Moving Average
$21.23
Price vs. 200-Day MA
29.11%
Analyst Ratings Distribution
0
1
7
12
8
Strong Sell Strong Buy
Median Price Target
$27.00
Price to Target
102%
Toggle between similar stocks and ETFs for comparison.

Loading comparable stocks ...

AT&T Inc.

T - NYQ
B+
$27.41 +0.51 (1.90%)
Technology
Telephone Communications (no Radiotelephone)
Market Cap: $196.8B
Volume: 39.5M (High)
Beta: 0.73 (Low)
Dividend Yield: 4%
Strong Momentum
Value
Good Quality
Large Cap
$27.41
$15.31 $27.49

AT&T Inc. is an American multinational conglomerate holding company, Delaware-registered but headquartered at Whitacre Tower in Downtown Dallas, Texas. It is the world largest telecommunications compa...

AT&T Inc. is an American multinational conglomerate holding company, Delaware-registered but headquartered at Whitacre Tower in Downtown Dallas, Texas. It is the world largest telecommunications company, and the second largest provider of mobile telephone services.