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1 S&P 500 Stock with Competitive Advantages and 2 We Avoid

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The S&P 500 (^GSPC) is home to the biggest and most well-known companies in the market, making it a go-to index for investors seeking stability. But not all large-cap stocks are created equal - some are struggling with slowing growth, declining margins, or increased competition.

Even among blue-chip stocks, not all investments are created equal - which is why we built StockStory to help you navigate the market. That said, here is one S&P 500 stock that is positioned to outperform and two best left off your watchlist.

Two Stocks to Sell:

Hilton (HLT)

Market Cap: $77.82 billion

Founded in 1919, Hilton Worldwide (NYSE: HLT) is a global hospitality company with a portfolio of hotel brands.

Why Should You Sell HLT?

  1. Weak revenue per room over the past two years indicates challenges in maintaining pricing power and occupancy rates
  2. Poor expense management has led to an operating margin of 22.1% that is below the industry average
  3. Capital intensity will likely ramp up in the next year as its free cash flow margin is expected to contract by 2.4 percentage points

Hilton’s stock price of $335.59 implies a valuation ratio of 36.2x forward P/E. If you’re considering HLT for your portfolio, see our FREE research report to learn more.

D.R. Horton (DHI)

Market Cap: $43.79 billion

One of the largest homebuilding companies in the U.S., D.R. Horton (NYSE: DHI) builds a variety of new construction homes across multiple markets.

Why Do We Think DHI Will Underperform?

  1. Product roadmap and go-to-market strategy need to be reconsidered as its backlog has averaged 7.6% declines over the past two years
  2. Earnings per share have dipped by 14.8% annually over the past two years, which is concerning because stock prices follow EPS over the long term
  3. Eroding returns on capital suggest its historical profit centers are aging

At $158.70 per share, D.R. Horton trades at 14.2x forward P/E. Dive into our free research report to see why there are better opportunities than DHI.

One Stock to Watch:

Berkshire Hathaway (BRK.A)

Market Cap: $1.05 trillion

Led by legendary investor Warren Buffett since 1965, transforming it from a struggling textile manufacturer into a corporate giant, Berkshire Hathaway (NYSE: BRK.A) is a diversified holding company that owns businesses across insurance, railroads, utilities, manufacturing, retail, and services sectors.

Why Is BRK.A on Our Radar?

  1. Earnings per share grew by 18.9% annually over the last two years, comfortably beating the peer group average
  2. Impressive 15.9% annual tangible book value per share growth over the last five years indicates it’s building equity value this cycle
  3. ROE punches in at 13.2%, illustrating management’s expertise in identifying profitable investments

Berkshire Hathaway is trading at $760,947 per share, or 23.4x forward P/E. Is now a good time to buy? Find out in our full research report, it’s free.

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Stocks that made our list in 2020 include now familiar names such as Nvidia (+1,326% between June 2020 and June 2025) as well as under-the-radar businesses like the once-micro-cap company Tecnoglass (+1,754% five-year return). Find your next big winner with StockStory today.

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