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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
451
CHY CHY
Calamos Convertible and High Income Fund $140M 132.7% -21.9% ~
2/4
~ ~
49
~
-21.9%
132.7%
72 /100
452
SSSAF SSSAF
Shurgard Self Storage S.A. $453M 131.8% +10.6%
4/4
~ ~
61
+10.6%
131.8%
81 /100
453
AOD AOD
Abrdn Total Dynamic Dividend Fund $125M 131.5% +74.2% ~
3/4
~
70
+74.2%
131.5%
83 /100
454
EOS EOS
Eaton Vance Enhanced Equity Income Fund II $120M 131.3% +1754.3% ~
3/4
~
55
+1754.3%
131.3%
86 /100
455
AFOVF AFOVF
Australian Foundation Investment Company Limited $217M 131.1% -16.7%
4/4
~
66
-16.7%
131.1%
71 /100
456
BUNNF BUNNF
BWP Trust $203M 131% +9.9%
4/4
~ ~
66
+9.9%
131%
81 /100
457
CHI CHI
Calamos Convertible Opportunities and Income Fund $133M 130.2% -19.5% ~
2/4
~ ~
49
~
-19.5%
130.2%
69 /100
458
DNP DNP
DNP Select Income Fund Inc. $332M 129.8% -61% ~
2/4
~
55
-61%
129.8%
65 /100
459
CYMBF CYMBF
Cymbria Corporation $217M 129.8% -4.9% ~
3/4
~
61
~
-4.9%
129.8%
80 /100
460
CYB.TO CYB.TO
Cymbria Corporation $217M 129.8% -5.3% ~
3/4
~
55
~
-5.3%
129.8%
79 /100
461
RVT RVT
Royce Value Trust Inc. $203M 129.3% +338.2% ~
3/4
~
70
+338.2%
129.3%
83 /100
462
BNC BNC
CEA Industries Inc. Common Stock $132M 128.8% +1504.3%
1/4
~ ~
58
+1504.3%
128.8%
73 /100
463
DPG DPG
Duff & Phelps Utility and Infrastructure Fund Inc. $66M 128.8% -54.2% ~
2/4
~
41
~
-54.2%
128.8%
67 /100
464
BNCWW BNCWW
CEA Industries Inc. Warrant $132M 128.8% +1504.3%
1/4
~ ~
58
+1504.3%
128.8%
73 /100
465
CEADW CEADW
CEA Industries Inc. $132M 128.8% +1504.3%
1/4
~ ~
58
+1504.3%
128.8%
66 /100
466
VAPEW VAPEW
CEA Industries Inc. Warrants $132M 128.8% +1504.3%
1/4
~ ~
58
+1504.3%
128.8%
66 /100
467
BYOC BYOC
Beyond Commerce, Inc. $3M 127.9% -14.6%
1/4
0
~
-14.6%
127.9%
46 /100
468
DJCO DJCO
Daily Journal Corporation $88M 127.9% +18% ~
3/4
42
+18%
127.9%
79 /100
469
WIR-U.TO WIR-U.TO
WPT Industrial Real Estate Investment Trust $171M 127.5% +28.5%
4/4
~
58
+28.5%
127.5%
73 /100
470
WIR-UN.TO WIR-UN.TO
WPT Industrial Real Estate Investment Trust $171M 127.5% +28.5%
4/4
~
58
+28.5%
127.5%
79 /100
471
GRF GRF
Eagle Capital Growth Fund, Inc. $4M 126.5% -7% ~
3/4
~
50
~
-7%
126.5%
78 /100
472
SOR SOR
Source Capital, Inc. $47M 126% +61.5% ~
3/4
35
+61.5%
126%
87 /100
473
PSB PSB
PS Business Parks, Inc. $439M 125% +2.1%
4/4
~ ~
54
+2.1%
125%
73 /100
474
PSB-PX PSB-PX
PS Business Parks, Inc. $439M 125% +2.1%
4/4
~ ~
54
+2.1%
125%
73 /100
475
PSB-PY PSB-PY
PS Business Parks, Inc. $439M 125% +2.1%
4/4
~ ~
66
+2.1%
125%
75 /100
476
PSB-PZ PSB-PZ
PS Business Parks, Inc. $439M 125% +2.1%
4/4
~ ~
54
+2.1%
125%
73 /100
477
RIGL RIGL
Rigel Pharmaceuticals, Inc. $294M 124.7% +38.2% ~ ~
2/4
~
49
+38.2%
124.7%
78 /100
478
TY TY
Tri-Continental Corporation $205M 124.3% -4.9% ~
3/4
~
61
~
-4.9%
124.3%
80 /100
479
TY-P TY-P
Tri-Continental Corporation PFD $2.50 $205M 124.3% -4.9% ~
3/4
~
61
~
-4.9%
124.3%
80 /100
480
MERFX MERFX
The Merger Fund - Class A 123.7% +21.8% ~
3/4
~
58
~
+21.8%
123.7%
75 /100
481
GPEAF GPEAF
Great Portland Estates Plc $94M 123.1% +3.9% ~ ~
2/4
~ ~
58
+3.9%
123.1%
61 /100
482
CNCC CNCC
Canna Corporation $1M 122.5% -100%
1/4
21
-100%
122.5%
42 /100
483
ENMHF ENMHF
ENM Holdings Limited $20M 121.9% -27.8%
1/4
~
0
~
-27.8%
121.9%
57 /100
484
BOE BOE
BlackRock Enhanced Global Dividend Trust $84M 121.7% +123% ~
3/4
41
+123%
121.7%
88 /100
485
FPL FPL
First Trust New Opportunities MLP & Energy Fund $11M 121.4% -48.3% ~
3/4
35
~
-48.3%
121.4%
69 /100
486
OHAQ OHAQ
Oracle Healthcare Acquisition Corp. $6M 120.8% +319923.9%
3/3
~ ~
46
+319923.9%
120.8%
78 /100
487
AXAS AXAS
Abraxas Petroleum Corporation $50M 119.9% -6.8%
1/4
~
50
~
-6.8%
119.9%
73 /100
488
CNSRF CNSRF
CoinShares International Limited $87M 119.5% +16.7% ~
2/4
~
50
+16.7%
119.5%
80 /100
489
GRDDY GRDDY
Grand City Properties S.A. $429M 119.4% +8.1% ~
3/4
~
63
~
+8.1%
119.4%
75 /100
490
MGF MGF
MFS Government Markets Income Trust $4M 118.5% +13.6% ~
3/4
~
50
+13.6%
118.5%
79 /100
491
BSTZ BSTZ
BlackRock Science and Technology Trust II $266M 118.2% -2.9% ~
3/4
~
55
~
-2.9%
118.2%
79 /100
492
COMM COMM
CommScope Holding Company, Inc. $1.9B 118.2% -39.6% ~
1/4
~ ~
67
~
-39.6%
118.2%
55 /100
493
SYNNF SYNNF
Symphony International Holdings Limited $49M 116.9% +81.3% ~
3/4
~ ~
50
~
+81.3%
116.9%
73 /100
494
VWTR VWTR
Vidler Water Resources, Inc. $28M 116.6% +84.7% ~
3/4
~
50
+84.7%
116.6%
80 /100
495
AVK AVK
Advent Convertible and Income Fund $102M 116.2% -7.3% ~
2/4
~
43
~
-7.3%
116.2%
65 /100
496
EVG EVG
Eaton Vance Short Duration Diversified Income Fund $13M 116.2% +7.6% ~
3/4
~
35
+7.6%
116.2%
74 /100
497
HAWPF HAWPF
Haw Par Corporation Limited $230M 115.4% +8.9%
4/4
~
66
+8.9%
115.4%
89 /100
498
HAWPY HAWPY
Haw Par Corporation Limited $226M 115.4% +8.5%
4/4
~
66
+8.5%
115.4%
89 /100
499
EBNEX EBNEX
American Funds Emerging Markets Bond Fund Class F-1 $15M 113.9% +10.9% ~
2/4
~
58
~
+10.9%
113.9%
71 /100
500
EMQIX EMQIX
Ashmore Emerging Markets Active Equity Fund - Institutional Class $15M 113.9% +10.9% ~
2/4
~
46
~
+10.9%
113.9%
67 /100

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

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