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SharesGrow 7-Criteria Scorecard

Stocks ranked by how many of the 7 investment criteria they pass. Click any ticker to see the full evaluation.

Market Cap SG Score Criteria Passed Revenue Growth Net Margin
✓ Pass ~ Partial ✗ Fail — = not yet scored
# Ticker Company Revenue Margin Rev Gr Value Future Past Health Moat Growth Income SG Score
1
NVDA NVDA
NVIDIA Corporation $215.9B 55.6% +101.8%
4/4
100
+101.8%
55.6%
93 /100
2
GOOGL GOOGL
Alphabet Inc. $403.0B 32.8% +12.6% ~
4/4
100
+12.6%
32.8%
89 /100
3
GOOG GOOG
Alphabet Inc. $403.0B 32.8% +12.6% ~
4/4
100
+12.6%
32.8%
89 /100
4
AAPL AAPL
Apple Inc. $416.2B 26.9% +1.9%
4/4
93
~
+1.9%
26.9%
65 /100
5
MSFT MSFT
Microsoft Corporation $281.7B 36.1% +12.5%
4/4
96
+12.5%
36.1%
89 /100
6
AMZN AMZN
Amazon.com, Inc. $716.9B 10.8% +11.7% ~ ~
3/4
100
+11.7%
~
10.8%
78 /100
7
VTSAX VTSAX
Vanguard Total Stock Market Index Fund Admiral Shares $5.9B 0.9% +21.7% ~
3/4
88
+21.7%
0.9%
66 /100
8
TSM TSM
Taiwan Semiconductor Manufacturing Company Limited $3.8T 45.1% +20.8% ~
4/4
96
+20.8%
45.1%
89 /100
9
AVGO AVGO
Broadcom Inc. $63.9B 36.2% +25.2% ~
4/4
~
96
+25.2%
36.2%
87 /100
10
META META
Meta Platforms, Inc. $201.0B 30.1% +19.9% ~
4/4
100
+19.9%
30.1%
91 /100
11
TSLA TSLA
Tesla, Inc. $94.8B 4% +5.6% ~
4/4
~
57
~
+5.6%
4%
58 /100
12
USB-PA USB-PA
U.S. Bancorp PERP PFD SER A $42.9B 17.7% +17.9%
4/4
81
+17.9%
17.7%
68 /100
13
BRK-A BRK-A
Berkshire Hathaway Inc. $371.4B 18% +23.9% ~
3/4
79
+23.9%
18%
69 /100
14
BRK-B BRK-B
Berkshire Hathaway Inc. $371.4B 18% +23.9% ~
3/4
79
+23.9%
18%
70 /100
15
WMT WMT
Walmart Inc. $713.2B 3.1% +5.3%
4/4
~
75
+5.3%
3.1%
63 /100
16
DHR-PB DHR-PB
Danaher Corporation $24.6B 14.7% -7.1% ~
4/4
92
-7.1%
~
14.7%
62 /100
17
LLY LLY
Eli Lilly and Company $65.2B 31.7% +32.1% ~
4/4
~
100
+32.1%
31.7%
86 /100
18
JPM JPM
JPMorgan Chase & Co. $279.7B 20.4% +23.8% ~
4/4
85
+23.8%
20.4%
68 /100
19
JPM-PC JPM-PC
JPMorgan Chase & Co. $279.7B 20.4% +23.8% ~
4/4
85
+23.8%
20.4%
67 /100
20
JPM-PD JPM-PD
JPMorgan Chase & Co. $279.7B 20.4% +23.8% ~
4/4
85
+23.8%
20.4%
67 /100
21
XOM XOM
Exxon Mobil Corporation $323.9B 8.9% -6.4%
4/4
70
-6.4%
~
8.9%
53 /100
22
V V
Visa Inc. $40.0B 50.1% +10.9% ~
4/4
~
92
+10.9%
50.1%
82 /100
23
ASML ASML
ASML Holding N.V. $32.7B 29.4% +16.1%
4/4
96
+16.1%
29.4%
76 /100
24
JNJ JNJ
Johnson & Johnson $94.2B 28.5% +5.6%
4/4
~
100
+5.6%
28.5%
73 /100
25
MU MU
Micron Technology, Inc. $37.4B 22.8% +20.3% ~ ~
3/4
~
67
+20.3%
22.8%
80 /100
26
ORCL ORCL
Oracle Corporation $57.4B 21.7% +10.7% ~
4/4
94
+10.7%
21.7%
72 /100
27
MA MA
Mastercard Incorporated $32.8B 45.6% +13.8% ~
4/4
~
90
+13.8%
45.6%
81 /100
28
BAC-PL BAC-PL
Bank of America Corporation $191.6B 15.9% +20.3%
4/4
79
+20.3%
15.9%
62 /100
29
NFLX NFLX
Netflix, Inc. $45.2B 24.3% +12.7% ~
4/4
~
83
+12.7%
24.3%
76 /100
30
COST COST
Costco Wholesale Corporation $275.2B 2.9% +6.6%
4/4
~
62
+6.6%
2.9%
62 /100
31
AMD AMD
Advanced Micro Devices, Inc. $34.6B 12.5% +14.7% ~
4/4
79
+14.7%
~
12.5%
78 /100
32
VBTIX VBTIX
Vanguard Total Bond Market Index Fund Institutional Shares $6.1B 2.8% +39.2%
4/4
~ ~
49
+39.2%
2.8%
68 /100
33
BAC BAC
Bank of America Corporation $191.6B 15.9% +20.3%
4/4
79
+20.3%
15.9%
67 /100
34
CICHY CICHY
China Construction Bank Corporation $1.3T 24.9% +24.3%
4/4
72
+24.3%
24.9%
70 /100
35
CVX CVX
Chevron Corporation $187.0B 6.6% -7.2% ~
4/4
~
51
-7.2%
~
6.6%
53 /100
36
ABBV ABBV
AbbVie Inc. $61.2B 6.9% +1.9%
4/4
~
94
+1.9%
~
6.9%
61 /100
37
CAT CAT
Caterpillar Inc. $67.6B 13.1% +4.6%
4/4
~
80
+4.6%
~
13.1%
57 /100
38
BAC-PB BAC-PB
Bank of America Corporation $191.6B 15.9% +20.3% ~
4/4
79
+20.3%
15.9%
67 /100
39
BAC-PK BAC-PK
Bank of America Corporation $191.6B 15.9% +20.3%
4/4
79
+20.3%
15.9%
62 /100
40
PCCYF PCCYF
PetroChina Company Limited $2.9T 5.5% -4%
4/4
~
64
-4%
~
5.5%
63 /100
41
HD HD
The Home Depot, Inc. $164.7B 8.6% +2.6% ~
4/4
~
76
+2.6%
~
8.6%
61 /100
42
LRCX LRCX
Lam Research Corporation $18.4B 29.1% +3.5% ~
4/4
83
~
+3.5%
29.1%
76 /100
43
PG PG
The Procter & Gamble Company $84.3B 19% +1.7% ~ ~
4/4
~
94
~
+1.7%
19%
66 /100
44
BML-PL BML-PL
Bank of America Corporation $191.6B 15.9% +20.3%
4/4
79
+20.3%
15.9%
62 /100
45
GE GE
GE Aerospace $45.9B 19% -2.5% ~
4/4
~
76
~
-2.5%
19%
68 /100
46
RHHBF RHHBF
Roche Holding AG $61.5B 20.9% -0.9%
4/4
~
94
~
-0.9%
20.9%
67 /100
47
RHHBY RHHBY
Roche Holding AG $63.4B 20.3% +0.1% ~
4/4
~
94
~
+0.1%
20.3%
68 /100
48
KO KO
The Coca-Cola Company $47.9B 27.3% +3.7%
4/4
~
90
+3.7%
27.3%
71 /100
49
CSCO CSCO
Cisco Systems, Inc. $56.7B 18% +3.4% ~
4/4
~
94
+3.4%
18%
63 /100
50
BML-PH BML-PH
Bank of America Corporation $191.6B 15.9% +20.3% ~
4/4
79
+20.3%
15.9%
67 /100

Scoring all 7 criteria: Value, Future, Past, Health, Moat, Growth, and Income. · 26,857 stocks scored.

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