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Bristol-Myers Squibb Company (BMY) is a global biopharmaceutical leader with a strong portfolio of drugs in oncology, immunology, cardiovascular, and fibrosis, including blockbusters like Eliquis, Opdivo, and Revlimid. The company is actively building its next-generation pipeline through strategic acquisitions and internal R&D to offset upcoming patent expirations. BMY offers an attractive dividend yield and trades at a modest valuation relative to big pharma peers, making it appealing for income-focused investors.

أسهم أرستقراطية التوزيعات

Bristol-Myers Squibb هي رائدة في العلوم الحيوية الصيدلانية في مجالات الأورام والمناعة مع سجل نمو قوي في الأرباح الموزعة، وتتنقل عبر منحدرات براءات الاختراع من خلال استراتيجية خط أنابيب قوية موجهة بالاستحواذ.

أسهم توزيعات الأرباح

Bristol-Myers Squibb توفر عائداً موزعة جذاباً وأعلى من المتوسط لقطاع الصيدلة، يدعمه تدفق نقدي حر قوي من محفظة الأدوية المكتشفة بالفعل والتزام بإعادة رأس المال إلى المساهمين.

أسهم الأدوية

Bristol-Myers Squibb هي شركة أدوية عالمية من الدرجة الأولى مع محفظة متنوعة من العقاقير الرائجة تغطي الأورام والقلب والأوعية الدموية والمناعة والليف، تحقق عشرات المليارات في الإيرادات السنوية.

Key Financials BMY

السعر $60.74
التغيير (1 يوم) +1.47%
التغيير (30D) +12.61%
التغيير (60D) +29.76%
التغيير (90D) +34.56%
التغيير (180D) +29.32%
التغيير (1Y) +8.17%
التغيير (5Y) +1.64%
P/E Ratio 28.65
EPS (TTM) $2.12
نطاق 52 أسبوعاً $42.52 — $63.33
50-Day MA $55.16
الحجم 10.82M

Data updated Feb 15 · Source: Twelve Data

4.1
2 reviews
Dividend Growth Streak
4.5
Dividend Yield
4.2
Sector Resilience
3.5
Total Return Potential
3.3
Payout Ratio Safety
3.2
Financial Stability
3
Claude Opus 4.6
AI Review
3.8/5

Bristol-Myers Squibb has shown impressive recent momentum, surging nearly 35% over the past 90 days and trading near its 52-week high of $63.33. However, the 5-year return of just 1.64% highlights the longer-term challenges this large-cap pharma has faced, including patent cliffs on key drugs like Revlimid and Eliquis.

The P/E ratio of 28.65 appears elevated for a mature pharmaceutical company, though this may reflect depressed earnings from recent acquisitions and restructuring costs. BMY's dividend remains a cornerstone of the investment thesis, with a yield around 4% and a strong track record of consecutive increases befitting its Dividend Aristocrat status.

Bull case: Growing oncology and immunology pipeline (including Opdivo and recent acquisitions like Karuna Therapeutics), attractive dividend yield, and potential earnings recovery. Bear case: Significant revenue headwinds from patent expirations through 2026, heavy debt from acquisitions, and execution risk integrating new assets. BMY suits income-oriented investors willing to accept near-term uncertainty for a solid dividend and pipeline optionality.

Dividend Growth Streak
4.5
Dividend Yield
4.2
Sector Resilience
3.5
Total Return Potential
3.3
Payout Ratio Safety
3.2
Financial Stability
3
Feb 15, 2026
Gemini 3 Pro Preview
AI Review
4.4/5

Bristol-Myers Squibb presents a compelling value proposition within the pharmaceutical sector. Trading at a P/E ratio of roughly 11.9, the stock is priced conservatively, reflecting investor caution regarding the significant "patent cliff" facing legacy blockbusters like Revlimid and Eliquis. However, BMY is successfully executing a strategic pivot toward its new growth portfolio, including promising assets like Reblozyl and Camzyos. The stock's recent recovery from 52-week lows indicates warming market sentiment toward this turnaround story. For income-focused investors, BMY remains a standout choice due to its robust cash flow and reliable dividend history. While execution risks persist regarding pipeline delivery and debt management following recent acquisitions, the current valuation provides a reasonable margin of safety. BMY is well-suited for conservative investors seeking consistent yield and long-term capital appreciation.

Feb 12, 2026
Bristol-Myers Squibb Screenshot

Added: Feb 11, 2026

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