KO vs VYM Stock Comparison

The Coca-Cola Company vs Vanguard High Dividend Yield ETF

Data as of Sep 2, 2026· market close· KO (stock) vs VYM (ETF)· Coverage 54/66 fields· 30/42 directly comparable· Moderate confidence
AIQ VerdictFragileAIQ Comparison Conviction 3/10

KO and VYM are effectively level

KO and VYM are effectively level on the AIQ Score; the factor table below shows where each one holds its advantage.

Evidence agreement: 3 of 4Comparison trend: Weakening
KO

The Coca-Cola Company

AIQ Score
58/100
AIQ Edge Score
9/10
VYM

Vanguard High Dividend Yield ETF

AIQ Score
58/100
AIQ Edge Score
7/10

The Algovestiq AIQ Score does not currently separate KO and VYM as of Sep 2, 2026. Both names are scored on the same 0–100 scale across Quality, Value, Momentum and Risk Resilience, and the factor table below shows where each one holds its advantage.

Compare The Coca-Cola Company and Vanguard High Dividend Yield ETF across the Algovestiq AIQ Score, valuation, quality, momentum, risk, technicals and analyst expectations.

AIQ Factor Divergence

Where the two separate, on the four dimensions behind the AIQ Score. Bars read outward from a shared zero: further from the centre is a wider gap.

KO advantage
0
VYM advantage
  • Risk Resilience15%57 vs 82
    VYM +25
  • Momentum25%69 vs 46
    KO +23
  • Value30%28 vs 48
    VYM +20
  • Quality30%80 vs 65
    KO +15

Neither name separates cleanly on the covered dimensions.

What changed since the last close

Latest scored session 2026-09-01, compared against the prior scored session 2026-08-31.

KO0 AIQ

No factor moved materially.

No new signals fired.

VYM0 AIQ

No factor moved materially.

No new signals fired.

Deeper signal detail for each name lives on its own signals page — KO and VYM both carry a full feed there.

Which one fits your objective

The same two names rank differently depending on what you are optimizing for. All six reads are shown at once — none of them is hidden behind a toggle.

Balanced

Even

Neither separates on the overall score.

Growth

Even

Growth figures are not covered for both names.

Value

VYM

VYM on the peer-relative Value factor, by 20 points.

Momentum

KO

KO on the Momentum factor, by 23 points.

Lower downside

VYM

VYM on Risk Resilience, by 25 points.

Analyst upside

Even

Analyst targets are level or not covered for both names.

AIQ vs Wall Street

Where the systematic read and the analyst consensus line up — and where they do not.

MeasureKOVYMNote
Implied upside to target+4.7%Level
Target dispersion+22.6%Lower is tighter analyst agreement
ConsensusBuyContext, not a primary driver
Analysts covering12Higher coverage generally improves confidence

Analyst targets are expectations, not predictions. Dispersion matters as much as the midpoint.

AIQ Agreement Matrix

How each independent group of evidence reads the pair.

Evidence groupFavorsReading
AIQ ScoreEven58 vs 58
FundamentalsNot coveredNot covered
ValuationVYMValue 28 vs 48
TechnicalsKOPrice vs 50-day 3.8% vs 1.1%; vs 200-day 13.5% vs 6.6%
Risk ResilienceVYMRisk Resilience 57 vs 82
Analyst expectationsNot coveredNot covered

AIQ Decision Stability

Fragile

The conclusion is sensitive to small changes. Treat the lead as provisional and watch the flip conditions below.

  • The AIQ gap is narrow at 0 points. (argues the conclusion is provisional)
  • The leader's advantage has been narrowing. (argues the conclusion is provisional)

How the comparison changed

120 daily snapshots · Apr 20 Sep 1

VYM lead: Weakening — the AIQ differential moved from 7 to 0 points over 30 sessions.

Apr 20KO leads above the line · VYM leads belowSep 1
Today
Level
58 vs 58
7 sessions ago
VYM +1
58 vs 59
30 sessions ago
VYM +7
59 vs 66
90 sessions ago
VYM +3
58 vs 61

The lead changed hands 3 times in this window, most recently on Aug 28 when KO moved ahead of VYM.

AIQ Signal Divergence

Only the signals that bear on the head-to-head. A conflicted name is carrying bullish and bearish rules at the same time — the technical evidence is not pointing one way.

KOConflicted

3 bullish / 1 bearish / 1 neutral, conflicted

  • Golden Cross Active bullish, trend, long horizon (9.37%)
  • Bollinger Band Squeeze neutral, volatility, short horizon
  • EMA Ribbon Expansion Bullish bullish, trend, medium horizon
VYMConflicted

4 bullish / 1 bearish / 2 neutral, conflicted

  • Golden Cross Active bullish, trend, long horizon (5.57%)
  • Bollinger Band Squeeze neutral, volatility, short horizon
  • EMA Ribbon Expansion Bullish bullish, trend, medium horizon

Price vs model alignment

Whether the latest session's price move confirms what the model did over the same session, or contradicts it.

KONo material change

Neither the price nor the AIQ Score moved enough in the latest session to confirm or contradict the other (price +0.71%, AIQ 0 points).

VYMNo material change

Neither the price nor the AIQ Score moved enough in the latest session to confirm or contradict the other (price +0.51%, AIQ 0 points).

The full evidence

Every number behind the verdict. The leader is called above each group so you are not left to solve it from the table.

Fundamentals

Split
MetricKOVYM
Revenue growth (YoY)7.3%
EPS growth (YoY)13.2%
Gross margin61.9%
Operating margin29.6%
Return on equity43%
Debt to equity1.2

Technicals

KO has the stronger structure
MetricKOVYM
RSI (14)59.532.6
ADX (14)27.217.1
Price vs 50-day3.8%1.1%
Price vs 200-day13.5%6.6%
Volatility (1M, annualized)14.9%7.7%

Risk

VYM is the more resilient
MetricKOVYM
Beta-0.280.58
Sharpe ratio1.271.26
Sortino ratio2.381.93
Max drawdown-8.5%-7.2%
Current drawdown-3.6%-1.9%
Annualized volatility18.9%10.2%
Value at risk (95%)-1.6%-1%

Straight answers

Each answer is regenerated from the current snapshot, not written once and left to age.

Which has more analyst upside, KO or VYM?

Analyst price targets imply +4.7% upside for KO and not covered for VYM. Analyst targets are expectations, not predictions, and dispersion matters as much as the midpoint.

Which is better value, KO or VYM?

VYM is the better-valued of the two on the peer-relative Value factor. VYM on the peer-relative Value factor, by 20 points. The Value factor reads valuation relative to sector peers and to the company's own fundamental quality, so it is not the same as simply having the lower multiple.

Which has stronger growth, KO or VYM?

Growth figures are not covered for both names. Growth here is measured on reported revenue and earnings, not on forward estimates — it describes what the businesses have delivered, not what the Street expects next.

Which has stronger momentum, KO or VYM?

KO on the Momentum factor, by 23 points. Momentum carries 25% of the AIQ composite. It has documented persistence over three- to twelve-month horizons, which makes it a timing input rather than a reason to hold something indefinitely.

Which is riskier, KO or VYM?

VYM is the more resilient of the two, so the other name carries the higher downside risk. VYM on Risk Resilience, by 25 points. The Risk Resilience factor weights 15% of the composite; position sizing usually responds to it more usefully than the buy/avoid decision does.

Is KO more profitable than VYM?

Margin data is not comparable for both names in the current snapshot.

What do the current signals say about KO and VYM?

KO: 3 bullish / 1 bearish / 1 neutral, conflicted. VYM: 4 bullish / 1 bearish / 2 neutral, conflicted. A conflicted state means bullish and bearish rules are active on the same name at once — the technical evidence is not pointing one way, and a decision taken on it carries more timing risk. The most decision-relevant rule on KO is Golden Cross Active (bullish, long horizon). On VYM it is Golden Cross Active (bullish, long horizon).

Compare KO and VYM with others

How this comparison is scored

The Algovestiq AIQ Score composites four factors — Quality (30%), Value (30%), Momentum (25%) and Risk (15%). Sentiment is reported separately as SentimentPulse and is not folded into the composite. Scores refresh every trading day, and this page regenerates from the latest snapshot rather than being written once.

The verdict names a leader, states how broadly six independent evidence groups agree, and rates how durable that conclusion is given the score gap, its recent trajectory and the current signal state on both names.

How to use side-by-side comparison →

This comparison is informational and educational, not investment advice. AIQ scores update daily; re-check after earnings, guidance or macro data that materially changes either name’s factor profile.