Which Is a Better Investment, Agilent Technologies, Inc. or IQVIA ...

Jan 3, 2025  · So, Which Is the Better Investment, IQVIA Holdings Inc., Agilent Technologies or Inc. Stock? Overall, IQVIA Holdings Inc. stock has a Value Score of 32, Growth Score of 100 and Estimate Revisions Score of 41. Agilent Technologies, Inc. stock has a Value Score of 20, …


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IQVIA: Will This Beaten-Down Stock Bounce Back? 3 Things To Know

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Dec 12, 2024  · IQVIA has better operating margins, operational efficiency, strong cash flows, and moderate leverage. ... Agilent Technologies, Inc. -4.7%. Mettler-Toledo International Inc. ... I …

seekingalpha.com

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Which Is A Better Investment, Agilent Technologies, Inc. Or Bio …

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6 days ago  · As of January 10, 2025, Agilent Technologies, Inc. had a $39.3 billion market cap, putting it in the 93rd percentile of all stocks. Agilent Technologies, Inc.’s stock is up 2.3% in …

aaii.com

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Agilent Technologies (A) Competitors And Alternatives 2025

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Jan 8, 2025  · Agilent Technologies received 494 more outperform votes than Mettler-Toledo International when rated by MarketBeat users. Likewise, 71.11% of users gave Agilent …

marketbeat.com

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IQVIA 'Is A Solid Investment' With Strong Competitive Positioning ...

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Jul 22, 2024  · IQVIA Holdings Inc (NASDAQ:IQV) reported a second adjusted EPS of $2.64, up from $2.43, beating the consensus of $2.57. Provider of advanced analytics reported sales of …

businessinsider.com

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Which Is A Better Investment, IQVIA Holdings Inc. Or Mettler …

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Dec 13, 2024  · IQVIA Holdings Inc.’s stock is NA in 2025, NA in the previous five trading days and down 15.31% in the past year. Currently, IQVIA Holdings Inc.’s price-earnings ratio is 25.6. …

aaii.com

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Which Is A Better Investment, Agilent Technologies, Inc. Or Qiagen …

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Dec 18, 2024  · Agilent Technologies, Inc.’s stock is down 3.4% in 2024, down 0.2% in the previous five trading days and down 3.83% in the past year. Currently, Agilent Technologies, …

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FAQs about Which Is a Better Investment, Agilent Technologies, Inc. or IQVIA ... Coupon?

Is Agilent Technologies a good stock to buy?

Agilent Technologies' average media sentiment score of 1.28 beat Mettler-Toledo International's score of 0.96 indicating that Agilent Technologies is being referred to more favorably in the media. Which has more volatility & risk, A or MTD? ...

Is IQVIA a good investment?

Overall, the analyst notes that IQVIA’s strong competitive positioning and healthy R&DS business make the company a solid investment, especially given its attractive valuation (it currently trades at 18.0 times 2025EPS, roughly a turn below close peer ICON Plc (NASDAQ: ICLR )). William Blair reiterates an Outperform rating. ...

Is IQVIA holdings (IQV) a good stock to buy?

IQV has better operating margins, operational efficiency, strong cash flows, and moderate leverage. The life sciences industry is going through an increased volume of clinical trial delays and cancellations across all therapeutic areas. We can see in the above table that IQVIA Holdings (NYSE: IQV) has underperformed the peers and broader markets. ...

Does IQVIA holdings have a low growth rate?

When we analyzed the revenue growth of IQVIA Holdings, it seems the company is struggling with a low growth rate. However, based on peer analyses, it shows that this scenario is industry-wide. The comparison with peers is showing that the company is having better growth compared to the negative growth of peers. Operating Margin: ...

Is Agilent Technologies better than Mettler-Toledo International?

Agilent Technologies received 492 more outperform votes than Mettler-Toledo International when rated by MarketBeat users. Likewise, 71.25% of users gave Agilent Technologies an outperform vote while only 56.97% of users gave Mettler-Toledo International an outperform vote. Is A or MTD more profitable? ...

Does IQVIA have misleading growth?

IQVIA's reported growth in Adjusted EBITDA, the company's preferred non-GAAP metric, has been misleading since 2015, increasing by over 140%. However, this growth has not been reflected in the company's economic earnings. This discrepancy between Adjusted EBITDA and economic earnings is not beneficial for shareholders, but it has been advantageous for executives. ...

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