AAPL vs AMD

AAPL vs AMD · Last updated April 5, 2026

Metric AAPL AMD
Price $255.92 $217.50
Market Cap $3.8T $354.6B AAPL
P/E Ratio 32.35 83.33 AAPL
Dividend Yield 41.00% N/A

Performance Comparison

Period AAPL AMD
1M -1.68% +9.05%
3M -4.15% -1.62%
6M -0.62% +32.08%
YTD -5.78% +1.56%
1Y +36.45% +153.61%
3Y N/A N/A
5Y N/A N/A

Dividend Comparison

Ex-DateTickerAmount
February 9, 2026AAPL$0.26
November 10, 2025AAPL$0.26
August 11, 2025AAPL$0.26
May 12, 2025AAPL$0.26
February 10, 2025AAPL$0.25
November 8, 2024AAPL$0.25
August 12, 2024AAPL$0.25
May 10, 2024AAPL$0.25
February 9, 2024AAPL$0.24
November 10, 2023AAPL$0.24
August 11, 2023AAPL$0.24
May 12, 2023AAPL$0.24

Key Differences

When choosing between AAPL and AMD, several key metrics help distinguish these two stocks. The following analysis covers the most relevant data points.

AAPL has a market capitalization of $3.8T (mega-cap), which is 10.6x the size of AMD's $354.6B (mega-cap). Larger companies tend to have more stable prices, while smaller companies may offer higher growth potential with greater volatility.

AAPL has a trailing price-to-earnings ratio of 32.4 compared to AMD's 83.3. This difference in earnings multiples may reflect varying market expectations for future growth, profitability, and risk between the two companies.

The data above reflects the most recent available information. Market conditions change frequently, and investors should verify current figures before making decisions.

How to Compare AAPL and AMD

Frequently Asked Questions

Is AAPL or AMD a better investment?

Whether AAPL or AMD is more suitable depends on your individual investment goals, risk tolerance, and time horizon. AAPL and AMD differ in key metrics like P/E ratio, market capitalization, and dividend yield. This page provides objective data to help you compare the two.

Which company is larger, AAPL or AMD?

AAPL has a market capitalization of $3.8T, making it the larger company by market value.

What are the risks of investing in AAPL vs AMD?

Both AAPL and AMD carry market risk — their values can decline during market downturns. Past performance does not guarantee future results. Consider factors like volatility, sector concentration, and your own risk tolerance when evaluating either investment.

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