Compare StocksAPD vs GS

Air Products and Chemicals, Inc. (APD) vs The Goldman Sachs Group, Inc. (GS): Which Is the Better Buy in 2026?

As of 2026-06-19, APD is overvalued at $280, with a DCF intrinsic value of $141 and a margin of safety of -98%. GS is undervalued at $1097, with an intrinsic value of $2507 and a margin of safety of 56%. Of the two, GS has the wider margin of safety.

APD
Air Products and Chemicals, Inc.
$280.21
VS
GS
The Goldman Sachs Group, Inc.
$1096.56

Rewards

APD
    GS
    • Gross margin of 82.3% indicates strong pricing power — typical of businesses with significant intellectual property or brand strength.
    • Share count has been reduced by 11% over the past 4 years through buybacks, increasing each share's claim on earnings.
    • Each dollar of retained earnings has created $2.58 of earning power — management is an exceptional capital allocator.

    Risks

    APD
    • PEG ratio of 2.10 indicates the stock is expensive relative to its expected growth — the market may be pricing in more growth than analysts project.
    • Net debt/EBITDA of 4.5x indicates heavy leverage — it would take over 4 years of EBITDA to pay off net debt.
    GS
    • Trailing P/E of 20.0x is 36% above the historical average of 14.7x — the stock trades at a premium to its own history.
    • Altman Z-Score of 0.25 places the company in the distress zone — financial patterns resemble those of companies that experienced bankruptcy.
    • 7 insider sales totaling $35.6M with no purchases in the past 3 months — insiders are reducing their exposure.

    Key Valuation Metrics

    Learn more →
    APD
    GS
    Valuation
    $-3.52B
    Free Cash Flow
    N/A
    -5.64%
    FCF Yield
    N/A
    29.56
    Trailing P/E
    20.03
    19.69
    Forward P/E
    16.71
    Quality & Moat
    6.35%
    ROIC
    1.95%
    12.35%
    ROE
    14.55%
    31.98%
    Gross Margin
    82.27%
    2.10
    PEG Ratio
    1.68
    Balance Sheet Safety
    0.96
    Net Debt / Equity
    Net cash
    N/A
    Interest Coverage
    N/A
    4.51
    Net Debt / EBITDA
    N/A
    2.58%
    Dividend Yield
    1.65%
    APD: 2Ties: 1GS: 6
    APDGS

    Historical Fundamentals

    Learn more →
    APD

    Price ÷ Earnings Per Share — how many years of current earnings you're paying for at today's price. Lower P/E may indicate undervaluation. The dashed forward point is the forward P/E — today's price ÷ analyst consensus EPS.

    GS

    Price ÷ Earnings Per Share — how many years of current earnings you're paying for at today's price. Lower P/E may indicate undervaluation. The dashed forward point is the forward P/E — today's price ÷ analyst consensus EPS.

    Price ÷ Earnings Per Share — how many years of current earnings you're paying for at today's price. Lower P/E may indicate undervaluation. The dashed forward point is the forward P/E — today's price ÷ analyst consensus EPS.

    $1 Retained Earnings Test

    Learn more →
    APD
    $-12.31
    created per $1 retained over 3 years
    Market Cap Declined
    Σ Retained
    $1.09B
    Δ Market Cap
    $-13.40B
    Buffett's "$1 Test": For every $1 of earnings retained, has management created at least $1 of market value?
    > $1 created per $1 retained = Value Creator · < $1 created = Value Destroyer
    GS
    $5.60
    created per $1 retained over 3 years
    Exceptional Value Creator
    Σ Retained
    $26.00B
    Δ Market Cap
    +$145.60B
    Buffett's "$1 Test": For every $1 of earnings retained, has management created at least $1 of market value?
    > $1 created per $1 retained = Value Creator · < $1 created = Value Destroyer

    Buffett's "$1 Test": For every $1 of earnings retained, has management created at least $1 of market value?
    > $1 created per $1 retained = Value Creator · < $1 created = Value Destroyer

    Discounted Cash Flow (DCF) Analysis

    Learn more →
    APD
    Insufficient Data
    Enter initial FCF to calculate intrinsic value
    Current Price: $280.21
    Fair Value: $0.00
    Strongly undervalued
    Undervalued
    Fairly valued
    Overvalued
    Strongly overvalued
    GS
    56.3% Margin of Safety
    Price is 56.3% below estimated fair value
    Current Price: $1096.56
    Fair Value: $2506.96
    Strongly undervalued
    Undervalued
    Fairly valued
    Overvalued
    Strongly overvalued

    Reverse DCF — Market-Implied Growth

    Learn more →
    APD

    Requires positive FCF to compute implied growth rate.

    GS

    Requires positive FCF to compute implied growth rate.

    Economic Moat Score

    Learn more →
    APD
    37/100
    No Moat
    70+ Wide · 40-69 Narrow · <40 None

    No durable moat detected, though revenue predictability shows some competitive positioning. The business lacks consistent evidence of sustainable advantages.

    Composite score measuring competitive advantage durability across four dimensions: returns above cost of capital, pricing power stability, revenue predictability, and capital efficiency. Based on 4 years of fundamental data.
    GS
    65/100
    Narrow Moat
    70+ Wide · 40-69 Narrow · <40 None

    Narrow moat with reinvestment efficiency as the key competitive advantage. Improving margin stability would strengthen the moat.

    Composite score measuring competitive advantage durability across four dimensions: returns above cost of capital, pricing power stability, revenue predictability, and capital efficiency. Based on 4 years of fundamental data.

    Forensic Accounting

    Learn more →
    APD
    -2.50
    Unlikely Manipulator
    Above -1.78 = likely manipulator · -2.22 to -1.78 = grey zone

    M-Score Trend

    Beneish's 8-variable model estimates the probability of earnings manipulation. An M-Score above -1.78 signals elevated risk — companies in this range have historically been 3-5× more likely to be manipulating earnings. Scores between -2.22 and -1.78 fall in a grey zone warranting further investigation.
    GS
    -2.00
    Possible Manipulator
    Above -1.78 = likely manipulator · -2.22 to -1.78 = grey zone

    M-Score Trend

    Beneish's 8-variable model estimates the probability of earnings manipulation. An M-Score above -1.78 signals elevated risk — companies in this range have historically been 3-5× more likely to be manipulating earnings. Scores between -2.22 and -1.78 fall in a grey zone warranting further investigation.

    Beneish's 8-variable model estimates the probability of earnings manipulation. An M-Score above -1.78 signals elevated risk — companies in this range have historically been 3-5× more likely to be manipulating earnings. Scores between -2.22 and -1.78 fall in a grey zone warranting further investigation.

    Ownership Breakdown

    Learn more →
    APD
    Insiders 1.9%Institutions 93.4%Retail & Other 4.7%
    No. of Institutional Holders2,261
    High insider ownership aligns management incentives with shareholders — a key signal in Buffett-style analysis. Institutional concentration can indicate smart-money conviction but also crowding risk.
    GS
    Insiders 0.5%Institutions 74.6%Retail & Other 24.8%
    No. of Institutional Holders3,780
    High insider ownership aligns management incentives with shareholders — a key signal in Buffett-style analysis. Institutional concentration can indicate smart-money conviction but also crowding risk.

    High insider ownership aligns management incentives with shareholders. Institutional concentration can indicate smart-money conviction but also crowding risk.

    Insider Buying Activity

    Learn more →
    APD
    0
    Buys (3M)
    0
    Buys (12M)
    EVANS ANDREW W
    Director
    $1,475
    @ $295.00 · 2025-04-02
    Open market purchases · includes direct & indirect ownership · excludes option exercises
    GS
    0
    Buys (3M)
    0
    Buys (12M)
    HESS JOHN B JR.
    Director
    $2.00M
    @ $511.68 · 2025-04-15
    JOHNSON KEVIN RONALD
    Director
    $1.49M
    @ $619.02 · 2025-01-17
    FLAHERTY MARK A
    Director
    $29,545
    @ $360.30 · 2024-09-27
    Open market purchases · includes direct & indirect ownership · excludes option exercises

    Open market purchases · includes direct & indirect ownership · excludes option exercises.

    Insider Selling Activity

    Learn more →
    APD
    1
    Sells (3M)
    2
    Sells (12M)
    Total value (12M): $1.22M
    SCHAEFFER MELISSA N
    Chief Financial Officer
    $824,405
    @ $303.76 · 2026-05-01
    BRIFO VICTORIA
    Officer
    $397,344
    @ $292.38 · 2025-08-05
    EVANS ANDREW W
    Director
    $1,416
    @ $283.20 · 2025-04-03
    NELSON WALTER L
    Officer
    $181,706
    @ $308.50 · 2025-03-05
    KURT LEFEVERE
    Officer
    $474,255
    @ $316.17 · 2025-02-20
    BRIFO VICTORIA
    Officer
    $745,967
    @ $315.82 · 2025-02-18
    MOK WILBUR
    Officer
    $410,644
    @ $315.88 · 2025-02-18
    BOLS IVO
    Officer
    $5.65M
    @ $313.82 · 2025-02-18
    GALOVICH BRIAN
    Chief Investment Officer
    $659,685
    @ $315.79 · 2025-02-13
    HABABOU AHMED
    Officer
    $495,216
    @ $307.97 · 2025-02-11
    SCHAEFFER MELISSA N
    Chief Financial Officer
    $993,566
    @ $307.32 · 2025-02-10
    MAIONE FRANCESCO
    Officer
    $616,896
    @ $306.00 · 2025-02-10
    MAJOR SEAN JOHN D
    General Counsel
    $1.42M
    @ $315.46 · 2025-02-07
    Direct ownership only · excludes indirect, option exercises, planned (10b5-1) sales & derivatives
    GS
    7
    Sells (3M)
    17
    Sells (12M)
    Total value (12M): $92.56M
    COLEMAN DENIS P.
    Chief Financial Officer
    $6.68M
    @ $973.55 · 2026-05-14
    RUEMMLER KATHRYN H
    General Counsel
    $13.42M
    @ $939.07 · 2026-05-06
    FREDMAN SHEARA J.
    Officer
    $9.57M
    @ $929.17 · 2026-05-01
    RUEMMLER KATHRYN H
    General Counsel
    $634,927
    @ $929.61 · 2026-05-01
    SOLOMON DAVID M
    Chief Executive Officer
    $3.23M
    @ $930.70 · 2026-05-01
    GOLTEN ALEXANDER SIMON
    Officer
    $1.04M
    @ $936.18 · 2026-04-23
    GOLTEN ALEXANDER SIMON
    Officer
    $1.02M
    @ $919.19 · 2026-04-17
    COLEMAN DENIS P.
    Chief Financial Officer
    $10.94M
    @ $941.57 · 2026-02-09
    SOLOMON DAVID M
    Chief Executive Officer
    $255,387
    @ $938.92 · 2026-01-29
    HALIO CAREY
    Officer
    $2.64M
    @ $927.17 · 2026-01-27
    FREDMAN SHEARA J.
    Officer
    $4.49M
    @ $923.75 · 2026-01-23
    RUEMMLER KATHRYN H
    General Counsel
    $8.89M
    @ $927.51 · 2026-01-23
    HALIO CAREY
    Officer
    $1.62M
    @ $920.62 · 2026-01-23
    WALDRON JOHN E.
    President
    $13.69M
    @ $750.30 · 2025-08-28
    COLEMAN DENIS P.
    Chief Financial Officer
    $5.41M
    @ $724.40 · 2025-07-25
    SOLOMON DAVID M
    Chief Executive Officer
    $4.71M
    @ $712.31 · 2025-07-23
    ROGERS JOHN F W
    Officer
    $4.31M
    @ $717.39 · 2025-07-23
    SOLOMON DAVID M
    Chief Executive Officer
    $3.04M
    @ $607.17 · 2025-05-14
    SOLOMON DAVID M
    Chief Executive Officer
    $1.50M
    @ $622.15 · 2025-02-26
    GOLTEN ALEXANDER SIMON
    Officer
    $3.31M
    @ $636.25 · 2025-01-28
    HALIO CAREY
    Officer and Treasurer
    $2.32M
    @ $636.74 · 2025-01-24
    FREDMAN SHEARA J.
    Officer
    $1.28M
    @ $627.01 · 2025-01-21
    RUEMMLER KATHRYN H
    General Counsel
    $4.76M
    @ $634.69 · 2025-01-21
    HALIO CAREY
    Officer
    $965,120
    @ $624.67 · 2025-01-21
    VINIAR DAVID A
    Director
    $3.06M
    @ $612.08 · 2024-11-29
    SOLOMON DAVID M
    Chief Executive Officer
    $4.00M
    @ $610.91 · 2024-11-29
    FREDMAN SHEARA J.
    Officer
    $1.77M
    @ $594.51 · 2024-11-06
    COLEMAN DENIS P.
    Chief Financial Officer
    $7.67M
    @ $593.03 · 2024-11-06
    ROGERS JOHN F W
    Officer
    $3.83M
    @ $596.36 · 2024-11-06
    SOLOMON DAVID M
    Chief Executive Officer
    $3.00M
    @ $500.29 · 2024-08-15
    VINIAR DAVID A
    Director
    $2.51M
    @ $502.43 · 2024-07-16
    Direct ownership only · excludes indirect, option exercises, planned (10b5-1) sales & derivatives

    Direct ownership only · excludes indirect, option exercises, planned (10b5-1) sales & derivatives.

    🎭 Mr. Market's Mood

    Learn more →
    APD
    FearGreed
    😐Neutral(60/100)

    "Market is pricing this stock without strong emotion in either direction"

    Composite sentiment score based on 6 market signals. Inspired by Buffett's "Mr. Market" allegory — fear = potential opportunity, greed = potential risk. Must be used alongside fundamental analysis, not in isolation.
    GS
    FearGreed
    😏Greed(66/100)

    "Market is optimistic — be cautious and ensure you have a margin of safety"

    Composite sentiment score based on 6 market signals. Inspired by Buffett's "Mr. Market" allegory — fear = potential opportunity, greed = potential risk. Must be used alongside fundamental analysis, not in isolation.

    Composite sentiment score based on market signals. Inspired by Buffett’s "Mr. Market" allegory — fear = potential opportunity, greed = potential risk. Must be used alongside fundamental analysis, not in isolation.

    ⚖️ Buffett Signal

    Learn more →
    APD
    Awaiting DCF Data

    The Buffett Signal cross-references market sentiment with DCF valuation. Configure the DCF Analysis above to generate a signal.

    DCF Margin of Safety: N/AMr. Market's Mood: Neutral (60)
    GS
    Awaiting DCF Data

    The Buffett Signal cross-references market sentiment with DCF valuation. Configure the DCF Analysis above to generate a signal.

    DCF Margin of Safety: N/AMr. Market's Mood: Greed (66)
    View APD Full AnalysisView GS Full Analysis

    Frequently Asked Questions: APD vs GS

    Is Air Products and Chemicals, Inc. or The Goldman Sachs Group, Inc. more undervalued in 2026?

    Based on our discounted cash flow model, GS trades at a 56.3% margin of safety (intrinsic value $2507 vs. price $1097), compared to APD's -98.1% margin of safety (intrinsic $141 vs. $280).

    Which stock has a wider economic moat, Air Products and Chemicals, Inc. or The Goldman Sachs Group, Inc.?

    GS scores 65/100 (Narrow moat), while APD scores 37/100 (None moat). The moat score measures competitive advantage durability across ROIC consistency, margin stability, revenue predictability, and reinvestment efficiency.

    Is The Goldman Sachs Group, Inc. in financial distress?

    GS's Altman Z-Score of 0.3 places it in the Distress zone, signaling elevated bankruptcy risk. APD scores 2.6 (Grey zone). The Altman Z-Score is a five-factor model that predicts insolvency within two years; scores below 1.81 indicate significant distress.

    Which stock has higher return on invested capital, Air Products and Chemicals, Inc. or The Goldman Sachs Group, Inc.?

    APD earns 6.3% ROIC versus GS's 1.9%. A higher ROIC means the company generates more profit per dollar of capital employed, a hallmark of durable competitive advantage in Buffett-style analysis.

    Which dividend is safer, Air Products and Chemicals, Inc.'s or The Goldman Sachs Group, Inc.'s?

    GS's dividend earns a safety score of 79/100 (Safe), compared to APD's 59/100 (Borderline). GS has raised its dividend for 3 consecutive years.