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MRVL vs PM

Comparison between Marvell Technology Inc (MRVL, Company) and Philip Morris International Inc (PM, Company).

MRVL is from the Technology sector, while PM is from the Consumer Defensive sector.

5-Year PerformanceMRVL has outperformed PM, delivering a return of +42.3% compared to +17.9%

MRVL vs PM - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
MRVL
$274B
Winner
PM
$278B
Max Drawdown
MRVL
91.59%
Winner
PM
51.20%
Sharpe Ratio
Winner
MRVL
2.37
PM
0.03
5Y Beta
MRVL
2.53
Winner
PM
0.06
Industry
MRVL
Semiconductors
PM
Tobacco
P/E Ratio
MRVL
115.36
Winner
PM
23.85
Forward P/E
MRVL
71.43
Winner
PM
21.28
PEG Ratio
MRVL
N/A
PM
1.20
Dividend Yield
MRVL
0.09%
Winner
PM
3.13%
5Y Dividends CAGR
Winner
MRVL
4.56%
PM
3.66%
5Y EPS CAGR
MRVL
N/A
PM
7.46%
Debt to Equity
MRVL
27.24%
Winner
PM
-61.35%
Free Cash Flow Yield
MRVL
0.61%
Winner
PM
3.84%

MRVL vs PM - Historical Returns

Returns include dividend reinvestment.

1M
Winner
MRVL
+83.85%
PM
-6.84%
3M
Winner
MRVL
+254.63%
PM
+8.35%
6M
Winner
MRVL
+268.12%
PM
+15.47%
1Y
Winner
MRVL
+315.51%
PM
+1.18%
5Y(CAGR)
Winner
MRVL
+42.31%
PM
+17.89%
10Y(CAGR)
Winner
MRVL
+42.00%
PM
+11.30%
Max(CAGR)
Winner
MRVL
+13.30%
PM
+12.43%

MRVL vs PM - Annual Returns (2000 - 2026)

Returns include dividend reinvestment.

YearMRVLPM
2026+247.86%+12.29%
2025-24.93%+37.15%
2024+90.54%+32.25%
2023+68.48%-1.87%
2022-58.41%+11.50%
2021+89.52%+22.71%
2020+74.83%+3.74%
2019+62.62%+33.87%
2018-26.12%-32.43%
2017+54.90%+20.22%
2016+60.94%+9.71%
2015-37.93%+14.02%
2014+4.00%-0.86%
2013+98.57%+4.62%
2012-47.16%+10.48%
2011-25.30%+39.42%
2010-11.79%+24.21%
2009+191.84%+14.91%
2008-49.96%-9.06%
2007-28.45%N/A
2006-34.02%N/A
2005+61.50%N/A
2004+87.18%N/A
2003+90.60%N/A
2002-48.61%N/A
2001+67.54%N/A
2000-61.51%N/A

MRVL vs PM Drawdown Comparison

The maximum drawdown for MRVL was -91.59%, occurring on Apr 4, 2001. Recovery took 1297 trading sessions.

The maximum drawdown for PM was -42.75%, occurring on Mar 23, 2020. Recovery took 1002 trading sessions.

The current MRVL drawdown is -1.85%. The current PM drawdown is -7.02%.

RankMRVLPM
#1-91.59%
Sep 13, 2000 - Nov 10, 2005
-42.75%
Jun 19, 2017 - Jun 11, 2021
#2-86.47%
Jan 27, 2006 - May 29, 2020
-40.87%
Aug 12, 2008 - Mar 19, 2010
#3-61.88%
Dec 7, 2021 - Nov 6, 2024
-22.74%
Feb 17, 2022 - May 9, 2024
#4-60.79%
Jan 23, 2025 - Apr 10, 2026
-20.63%
Jun 23, 2025 - Feb 4, 2026
#5-36.84%
Jul 20, 2000 - Aug 30, 2000
-19.33%
Apr 12, 2013 - Oct 15, 2015
#6-26.40%
Jan 25, 2021 - Jun 17, 2021
-18.53%
Feb 25, 2026 - May 14, 2026
#7-20.18%
Jun 30, 2000 - Jul 12, 2000
-18.47%
Apr 12, 2010 - Aug 9, 2010
#8-20.18%
Jun 4, 2026 - Jun 10, 2026
-17.97%
Sep 3, 2021 - Jan 14, 2022
#9-17.47%
Oct 9, 2020 - Nov 6, 2020
-14.85%
Jul 15, 2016 - Feb 7, 2017
#10-15.63%
Dec 16, 2024 - Jan 17, 2025
-13.61%
Jul 28, 2011 - Oct 28, 2011
#11-14.41%
Jul 10, 2020 - Aug 31, 2020
-12.11%
Oct 5, 2012 - Feb 21, 2013
#12-10.66%
Nov 6, 2020 - Nov 30, 2020
-10.98%
Nov 29, 2024 - Feb 6, 2025
#13-9.71%
Dec 4, 2024 - Dec 13, 2024
-10.01%
May 14, 2026 - Jun 1, 2026
#14-9.46%
Sep 24, 2021 - Oct 6, 2021
-9.30%
May 2, 2012 - Jul 3, 2012
#15-9.29%
Sep 2, 2020 - Oct 5, 2020
-8.41%
May 31, 2011 - Jul 21, 2011

Correlation

Correlation between MRVL and PM is 0.79 which considered as a strong positive correlation - the stocks tend to move together.

0.79
-101

Dividend Comparison (2008 - 2026)

MRVL vs PM dividend yield comparison.

YearMRVLPM
20260.04%0.82%
20250.28%3.52%
20240.22%4.40%
20230.40%5.46%
20220.65%4.98%
20210.21%5.16%
20200.50%5.73%
20190.90%5.43%
20181.48%6.73%
20171.12%3.99%
20161.73%4.50%
20152.72%4.60%
20141.66%4.76%
20131.67%4.11%
20122.48%3.87%
20110.00%3.59%
20100.00%4.17%
20090.00%4.65%
20080.00%3.54%

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