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Banca Mediolanum S.p.A. vs Key: Which Stock Looks Stronger in 2026?

Banca Mediolanum S.p.A holds the cleaner structural position, with profitability as the main driver and growth adding further support. KeyCorp does not offset that deficit through any equally strong structural edge elsewhere. The market setup is broadly comparable for both — no clear directional signal from price behavior. The market is not adding a decisive signal either way — the structural read carries the weight.

The comparison is based on similar long-term financial trajectories, not sector labels. Peer scores are normalised within each company's primary universe (BMED.MI: STOXX 600, KEY: S&P 500).

Updated 2026-05-17

Profitability still does most of the heavy lifting in this comparison. Banca Mediolanum S.p.A. leads by 29 points on the overall comparison score.

INDUSTRY COMPARISON

Both operate in: Banks - Regional

This comparison is based on industry proximity, not on functional trajectory similarity. BMED.MI and KEY share the same industry classification.

For a similarity-based comparison, see how Banca Mediolanum S.p.A and KeyCorp each position within their functional peer groups in AssetNext.

Peer-Relative Score
BMED.MI
Banca Mediolanum S.p.A.
72
Peer-Score
Signal qualitylow
Peer basis: STOXX 600
vs
KEY
KeyCorp
43
Peer-Score
Signal qualitylow
Peer basis: S&P 500

Scores reflect position relative to comparable companies with similar long-term financial trajectories.

The largest gaps do not all point in the same direction.

Dimension spread: BMED.MI vs KEY Profitability 100 12 Stability 40 31 Valuation 75 80 Growth 59 45 BMED.MI KEY
Gap Ranking
#1 Profitability +88
#2 Growth +14
#3 Stability +9
#4 Valuation +5
Price Setup

Left means cheaper relative valuation. Higher means stronger structure.

Price setup map for BMED.MI and KEY Stronger + cheaper Stronger + richer Weaker + cheaper Weaker + richer BMED.MIKEY Relative valuation Structural strength

Neither company combines the stronger profile with the cheaper valuation.

Valuation position uses peer-relative PE percentile (idx_pct_pe) where available.

Entry today — historical context

Where BMED.MI and KEY each sit in their own 5-year price and valuation history.

BASED ON 5-YEAR HISTORY BMED.MI Elevated · above norm 0th 50th 100th 4 pct gap KEY Elevated · near norm 0th 50th 100th 99th 95th
BMED.MI (99th percentile) and KEY (95th percentile) both sit in the upper portion of their own 5-year ranges. The historical entry context is broadly similar for both. This reflects entry timing, not which company is structurally stronger.

Describes historical entry positioning only. Descriptive — not investment advice.

Relative Position vs Comparable Companies
Profitability
Banca Mediolanum S.p.A. ranks near the top of the group on profitability; KeyCorp sits in the weaker half.
Growth
On growth, the same pattern holds: both rank well, but Banca Mediolanum S.p.A. still sits higher.
Profitability — Dominant Gap
BMED.MI
100
KEY
12
Gap+88in favour of BMED.MI

The profitability lead is mainly driven by a 30-point operating margin advantage.

What keeps the gap from being one-sided

KeyCorp still carries lower volatility exposure — that difference is real enough to prevent the comparison from becoming one-sided.

What this means for the comparison

Profitability is the clearest driver, and growth also supports Banca Mediolanum S.p.A.'s broader structural position.

Explore full peer positioning in AssetNext

Break down the BMED.MI vs KEY comparison across all dimensions with the full interactive tool.

Explore full breakdown →
Similar profitability-driven comparisons

Explore how BMED.MI and KEY each compare against other companies in their peer groups.

Rule-based, descriptive analysis only. Derived from peer percentile dimensions. Not investment advice. Peer groups are determined algorithmically based on structural similarity — not by sector classification alone.

How AssetNext Peer Scores Work

AssetNext scores reflect each company's structural position within its functional peer group — not a ranking against all stocks simultaneously. Peers are identified by similarity across eight financial dimensions, including revenue growth trajectory, margin structure, capital intensity, and earnings stability. A score of 75 means the company ranks in the top quartile within its own peer group, not the entire market.

Four dimension scores drive the overall peer score: Growth (revenue trajectory and expansion dynamics), Quality (margin structure and capital efficiency), Valuation (peer-relative pricing on standard multiples), and Stability (earnings consistency and financial predictability). Each dimension is scored 0–100 relative to the peer group, then combined into an overall peer score using equal weighting.

Because scores are peer-relative, the same company can have slightly different scores in different index universes. On comparison pages, both companies are shown within their shared peer universe wherever possible — so the scores are directly comparable. The peer basis is stated on each score card.

Scores are recalculated periodically as underlying financial data is updated. All analysis is descriptive and rule-based — AssetNext describes structural realities and never issues buy, sell or hold recommendations.