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APP vs. STX: A Head-to-Head Stock Comparison

Updated

Here’s a clear look at APP and STX, comparing key factors like performance, valuation metrics, dividends, and financial strength. It’s built for investors or anyone curious to see how these two stocks match up.

Company Overview

APP dominates in value with a market cap of 121.26 billion USD, eclipsing STX’s 22.16 billion USD by roughly 5.47×.

APP’s beta of 2.39 points to much larger expected swings compared to STX’s calmer 1.34, suggesting both higher upside and downside potential.

SymbolAPPSTX
Company NameAppLovin CorporationSeagate Technology Holdings plc
CountryUSIE
SectorTechnologyTechnology
IndustrySoftware - ApplicationComputer Hardware
CEOMr. Adam Arash ForoughiDr. William David Mosley Ph.D.
Price358.35 USD104.43 USD
Market Cap121.26 billion USD22.16 billion USD
Beta2.391.34
ExchangeNASDAQNASDAQ
IPO DateApril 15, 2021December 11, 2002
ADRNoNo

Performance Comparison

This chart compares the performance of APP and STX over the past year by tracking the growth of an initial $10,000 investment in each (starting one year ago).

Hover over the lines to see the investment’s value and total return (%) at specific dates.

Data is adjusted for dividends and splits.

Valuation Metrics Comparison

The section examines key financial ratios to assess the valuation of APP and STX based on earnings, cash flow, sales, and book value. Pay attention to the following notable points where extreme values stand out.

  • STX shows a negative forward PEG of -6.15, signaling expected earnings contraction, while APP at 2.43 maintains analysts’ projections for stable or improved profits.
  • STX carries a sub-zero price-to-book ratio of -26.71, indicating negative equity. In contrast, APP (P/B 211.64) has positive book value.
SymbolAPPSTX
Price-to-Earnings Ratio (P/E, TTM)63.4314.82
Forward PEG Ratio (TTM)2.43-6.15
Price-to-Sales Ratio (P/S, TTM)23.612.60
Price-to-Book Ratio (P/B, TTM)211.64-26.71
Price-to-Free Cash Flow Ratio (P/FCF, TTM)47.8723.21
EV-to-EBITDA (TTM)47.3010.44
EV-to-Sales (TTM)24.232.50
EV-to-Free Cash Flow (TTM)49.1222.35

Dividend Comparison

APP offers a 0% dividend yield, suggesting it may be reinvesting available cash back into the business for future growth, while STX provides a 2.72% dividend yield, giving investors a steady income stream.

SymbolAPPSTX
Dividend Yield (TTM)0.00%2.72%

Financial Strength Metrics Comparison

This section dives into the financial resilience of APP and STX, spotlighting key metrics like liquidity, leverage, and debt coverage. Check out the standout observations below where notable differences or extremes pop up.

  • STX posts a quick ratio of 0.75, indicating limited coverage of short-term debts from its most liquid assets—while APP at 1.68 enjoys stronger liquidity resilience.
  • APP is heavily leveraged (debt-to-equity ratio 6.45), which can boost returns but raises risk if borrowing costs climb, while STX at 0.00 keeps leverage at a more moderate level.
  • APP meets its interest obligations (ratio 7.41). In stark contrast, STX’s negative ratio (-9.96) means its operating earnings (EBIT) don't cover basic operations, let alone interest, signaling serious financial trouble.
SymbolAPPSTX
Current Ratio (TTM)1.681.36
Quick Ratio (TTM)1.680.75
Debt-to-Equity Ratio (TTM)6.450.00
Debt-to-Assets Ratio (TTM)0.650.00
Interest Coverage Ratio (TTM)7.41-9.96