COMPARE · Data as of August 28, 2026

NTRS vs TROW

Verdict: Side-by-side breakdown using the Bull Rankings model. NTRS scored 66.0, TROW scored 75.0 — TROW leads.
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NTRS
Northern Trust Corporation
Asset Management · Financial strength
70.7Fin
$186.79 · $34.2B
fundamentals as of
Strength gap
18.3
TROW leads
TROW
T. Rowe Price Group, Inc.
Asset Management · Financial strength
89Fin
$111.24 · $23.7B
fundamentals as of
  • CheapestTROW11.3x
  • Fastest growthTROW+3.1%
THE BULL RANKINGS SCORECARD70.7/ 100 · FIN STRENGTHPEER MEDIANASSET MGR70.7
THE BULL RANKINGS SCORECARD89.0/ 100 · FIN STRENGTHPEER MEDIANASSET MGR89.0
cheap & fastrevenue growth →← cheaper (lower multiple)-12%13%6.3x21xNTRSTROW

Growth against the P/E multiple. Up and to the right is cheaper and faster — the quality-growth idea in one picture. Points beyond the axis are pinned to the edge and marked off-scale rather than allowed to compress everything else.

RevNTRS-2.5%TROW+3.1%
P/ENTRS16.0xTROW11.3x
ROENTRS17.1%TROW19.4%
P/BNTRS2.73TROW2.16
YieldNTRS1.8%TROW4.6%
NTRS
TROW
-2.5%D+
Rev
+3.1%C+
16.0xC+
P/E
11.3xB+
17.1%B+
ROE
19.4%B+
2.73C+
P/B
2.16C+
1.8%C+
Yield
4.6%B+
Winner per row is the stronger grade; where grades tie, the better figure breaks it. A true tie or a missing value shows no highlight.
NTRSNorthern Trust Corporation
Asset Management · $186.79 · beta 1.26
Why now
Asset Management · market cap $34.2b. 5% off the 52-week high of $195.78. 13 sell-side analysts publish a mean 1-yr target of $184.27 (implying -1% upside).
Moat
Net margin 25% sits well above the S&P median (~11%) — suggests structural pricing advantage or cost discipline competitors can't quickly close. ROE 17% sits above Buffett's preferred 15% threshold — the equity base is compounding at a rate the market struggles to discount accurately.
Risk
Balance-sheet financial — book value, net interest margin, and credit loss provisions are the lever points; a rates regime change or a deterioration in the loan book moves the stock more than EPS does.
TROWT. Rowe Price Group, Inc.
Asset Management · $111.24 · beta 1.48
Why now
Asset Management · market cap $23.7b. 9% off the 52-week high of $122.00. 12 sell-side analysts rate this a Hold with a mean 1-yr target of $109.58 (implying -1% upside).
Moat
Net margin 29% sits well above the S&P median (~11%) — suggests structural pricing advantage or cost discipline competitors can't quickly close. ROE 19% sits above Buffett's preferred 15% threshold — the equity base is compounding at a rate the market struggles to discount accurately.
Risk
Beta 1.48 implies above-market volatility — position-size to the drawdowns this name will produce in a market correction, not to its bull-case return. Balance-sheet financial — book value, net interest margin, and credit loss provisions are the lever points; a rates regime change or a deterioration in the loan book moves the stock more than EPS does.
Generating verdict… typically 5–10 seconds
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