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MRKMRK

$91.45

+0.50
arrow_drop_up0.55%
Current Market·update12 Nov 2025 21:01

$91.87

+0.38
arrow_drop_up0.42%
Pre-market·update13 Nov 2025 14:11
Day's Range
91.16-92.91
52-week Range
73.31-105.07

Chart

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Performance

Key Stats

Next Earnings Date2025-10-30
Next Earnings TimeBefore Market Open
Volume11.42M
Average Volume 30d11.97M

AI MRK Summary

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14.3
Valuation (P/E Ratio)
Industry average for healthcare sector
📈
0.152
EPS Growth (YoY)
Strong earnings growth as per recent quarters
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AI Scoreboard

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Overall Analysis

Buy
76

Merck & Co. (MRK) presents a compelling investment case with strong fundamentals driven by its pharmaceutical segment, consistent dividend growth, and a stable market position. While facing some longer-term technical headwinds and competitive pressures, its robust financial health and product pipeline support a positive outlook.

Moderate

Thematic

65

Merck operates within the healthcare sector, benefiting from steady demand and innovation in pharmaceuticals and animal health. Thematic tailwinds include an aging global population, increasing healthcare spending, and advancements in medical treatments, though regulatory hurdles and patent cliffs remain considerations.

Strong

Fundamental

85

Merck exhibits robust financial health, characterized by strong revenue and profit generation, consistent dividend growth, and a healthy balance sheet. Its P/E ratio suggests a reasonable valuation relative to its earnings and industry peers.

Neutral

Technical

55

Merck's stock is trading within a range, showing mixed signals across different timeframes. While long-term trends indicate some positive momentum, short-term indicators suggest potential consolidation or a slight pullback.

FactorScore
Healthcare Sector Growth75
Pharmaceutical Innovation80
Animal Health Market60
Regulatory Landscape40
ESG Focus65
FactorScore
Valuation75
Profitability95
Growth70
Balance Sheet Health85
Cash Flow90
Dividend Yield80
FactorScore
Trend Analysis65
Momentum60
Support & Resistance70
Volume70
Short-term Trend (15m)45

AI Investing Checklist

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Bullish Points (6)

Earnings Performance chevron_right

Consistent Earnings Growth and Positive Surprises

The company has demonstrated a history of beating EPS estimates, with 8 out of the last 10 quarters showing positive earnings surprises. The latest reported EPS of $2.22 in Q2 2025 exceeded the estimate of $2.14 by 3.96%.

Valuation chevron_right

Attractive Price-to-Earnings Ratio

The P/E TTM ratio of 12.23 is relatively low compared to the industry average, suggesting potential undervaluation given its earnings. The P/S ratio of 3.5 (2023) and 3.8 (2024) indicates reasonable valuation relative to its sales.

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Bearish Points (6)

Growth Deceleration chevron_right

Slowing Revenue Growth and Net Margin Fluctuation

While revenue for 2024 ($64.17 billion) is up from 2023 ($60.12 billion), the net margin has shown significant volatility, dropping to 0.6% in 2023 before recovering to 26.7% in 2024. This suggests potential earnings instability.

Valuation Risk chevron_right

High Price-to-Sales Ratio

The P/S ratio is 4.4 TTM and 3.8 for 2024, which could be considered high depending on industry norms and growth prospects, potentially indicating the stock is priced for perfection.

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Calendar

July 2025

8

Next Dividend Date

July 2025

29

Next Earnings Date

EPS Est.
Revenue Est.

H: $2.17

A: $2.03

L: $1.88

H: 16.81B

A: 15.87B

L: 15.55B

September 2025

15

Ex-Dividend Date

Profile

Websitemerck.com
Employees (FY)73K
ISIN-
FIGI-

Merck & Co., Inc. operates as a healthcare company worldwide. It operates through two segments, Pharmaceutical and Animal Health. The company offers human health pharmaceutical for various areas, including oncology, vaccines, hospital acute care, cardiovascular, virology, neuroscience, and diabetes under the Keytruda, Welireg, Gardasil, ProQuad, M-M-R II, Varivax, Vaxneuvance, RotaTeq, Pneumovax 23, Bridion, Dificid, Zerbaxa, Noxafil, Winrevair, Adempas, Verquvo, Lagevrio, Isentress/Isentress HD, Delstrigo, Pifeltro, Belsomra, Januvia, and Janumet brands. It also provides veterinary pharmaceuticals, vaccines and health management solutions and services, such as livestock products under the Nuflor, Bovilis/Vista, Bovilis Cryptium, Banamine, Estrumate, Matrix, Resflor, Zuprevo, Revalor, Safe-Guard, M+Pac, Porcilis, Circumvent, Nobilis/Innovax, Paracox and Coccivac, Exzolt, Slice, Imvixa, Clynav, Aquavac/Norvax, Aquaflor, Flexolt brands; Allflex Livestock Intelligence solutions for animal identification, monitoring and traceability; and companion animal products under the Bravecto One-Month, Bravecto Injectable/Quantum, Bravecto Plus, Sentinel Spectrum, Sentinel Flavor Tabs, Optimmune, Nobivac NXT, GilvetMab, Otomax, Mometamax, Mometamax Ultra, Posatex, Caninsulin/Vetsulin, Panacur, Regumate, Prestige, Scalibor/Exspot, Sure Petcare, and Home Again brands. The company has development and commercialization agreement for three of Daiichi Sankyo's deruxtecan ADC candidates; AstraZeneca PLC to co-development and co-commercialize AstraZeneca's Lynparza products for multiple cancer types, and Koselugo for multiple indications; licensed to develop, manufacture and commercialize LM-299, a novel investigational PD-1/VEGF bispecific antibody from LaNova; and collaboration agreement with Eisai Co., Ltd., Bayer AG, and Ridgeback Biotherapeutics LP, as well Moderna, Inc. It has a collaboration agreement with Antengene Corporation Limited to evaluate the combination of ATG-022, a CLDN18.2-targeting antibody-drug conjugate, and anti-PD-1 therapy, as well as KEYTRUDA (pembrolizumab) in patients with advanced solid tumors. Merck & Co., Inc. was founded in 1891 and is headquartered in Rahway, New Jersey.

Seasonals

2025
2024
2023
2022
2021

Price Target

102.00 USD

The 39 analysts offering 1 year price forecasts for MRK have a max estimate of 141.00 and a min estimate of 82.00.

Debt Level and Coverage

Debt
Free cash flow
Cash & equivalents

Financial Position Analysis

Assets
Liabilities

Ownership

Free Float shares
2.51B (99.84%)
Closely held shares
3.97M (0.16%)
2.51B
Free Float shares
2.51B (99.84%)
Closely held shares
3.97M (0.16%)

Capital Structure

Market cap
211.2B
Debt
37.11B
Minority interest
0.00
Cash & equivalents
13.24B
Enterprise value
235.07B

Valuation - Summary

Market Cap
211B
Net income
12B(5.67%)
Revenue
47.8B(22.64%)
211B
Market Cap
211B
Net income
12B(5.67%)
Revenue
47.8B(22.64%)
Price to earning ratio (P/E)17.60x
Price to sales ratio (P/S)4.40x

Valuation - Ratios

P/E
P/S

Revenue to Profit Conversion

Revenue
64.17B
COGS
15.19B
Gross Profit
48.98B
OpEx
28.75B
Operating Income
20.22B
Other & Taxes
3.1B
Net Income
17.12B

Balance Sheet

Total assets
Total liabilities
Liabilities to assets %

Income Statement

Revenue
Net Income
Net Margin

Cash Flow

Operating Cash Flow
Investing Cash Flow
Financing Cash Flow
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