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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
501
XCPL XCPL
XCPCNL Business Services Corporation 113.1% +67.1% ~
2/4
~
6
+67.1%
113.1%
66 /100
502
JRI JRI
Nuveen Real Asset Income and Growth Fund $44M 112.6% +12.9% ~
3/4
~
50
+12.9%
112.6%
81 /100
503
TORO TORO
Toro Corp. $22M 112.6% +60.3% ~
3/4
~
29
+60.3%
112.6%
76 /100
504
HTD HTD
John Hancock Tax-Advantaged Dividend Income Fund $94M 112.5% +134.7% ~
2/4
41
+134.7%
112.5%
77 /100
505
SIIDX SIIDX
Bernstein Intermediate Duration Institutional Portfolio $57M 112.2% +10.8% ~
3/4
~ ~
58
~
+10.8%
112.2%
67 /100
506
KNRLF KNRLF
Kontrol Technologies Corp. $11M 111.6% -22% ~
3/4
~ ~
50
-22%
111.6%
66 /100
507
BST BST
BlackRock Science and Technology Trust $225M 111.5% +133.4% ~
3/4
70
+133.4%
111.5%
88 /100
508
CTPVF CTPVF
CTP N.V. $970M 111.5% +18.3%
4/4
~
66
+18.3%
111.5%
78 /100
509
EHLD EHLD
Euroholdings Ltd. $13M 111.2% +9%
4/4
35
+9%
111.2%
81 /100
510
HRZN HRZN
Horizon Technology Finance Corporation $41M 111.2% +1093.8% ~ ~
2/4
~
50
+1093.8%
111.2%
68 /100
511
HTFB HTFB
Horizon Technology Finance Corporation $41M 111.2% +1093.8% ~
2/4
~
62
+1093.8%
111.2%
63 /100
512
HTFC HTFC
Horizon Technology Finance Corp $41M 111.2% +1093.8% ~
2/4
~
62
+1093.8%
111.2%
68 /100
513
NMAI NMAI
Nuveen Multi-Asset Income Fund $73M 111.2% +59.4% ~
3/4
~ ~
50
+59.4%
111.2%
80 /100
514
EHLDV EHLDV
Euroholdings Ltd $13M 111.2% +9%
4/4
35
+9%
111.2%
81 /100
515
ATUUF ATUUF
Tenaz Energy Corp. $284M 111.1% +143.9% ~
3/4
27
+143.9%
111.1%
74 /100
516
TNZ.TO TNZ.TO
Tenaz Energy Corp. $284M 111.1% +146.1% ~
3/4
27
+146.1%
111.1%
68 /100
517
GDV.TO GDV.TO
Global Dividend Growth Split Corp. $42M 110.3% +266.4% ~
3/4
~ ~
50
+266.4%
110.3%
80 /100
518
AFT AFT
Apollo Senior Floating Rate Fund Inc. $33M 109.6% +65.3% ~
3/4
~ ~
50
+65.3%
109.6%
85 /100
519
TSI TSI
TCW Strategic Income Fund, Inc. $18M 109.6% +5.3% ~
3/4
~
35
+5.3%
109.6%
74 /100
520
BCDMF BCDMF
Kuuhubb Inc. $4M 109.6% +57.9%
1/4
~
50
+57.9%
109.6%
61 /100
521
AEDVX AEDVX
Emerging Markets Debt Fund - Investor Class $65M 109% -3.9% ~
2/4
~ ~
46
-3.9%
109%
61 /100
522
DESIX DESIX
DFA Em Mkts Sustnby Cor 1 Instl $65M 109% -3.9% ~
2/4
~ ~
58
-3.9%
109%
63 /100
523
TGMEX TGMEX
TCW Emerging Markets Multi-Asset Opportunities Fd Cl N $65M 109% -3.9% ~
2/4
~ ~
46
-3.9%
109%
61 /100
524
TWMIX TWMIX
American Century Emerging Markets Investor Class $65M 109% -3.9% ~
2/4
~ ~
58
-3.9%
109%
61 /100
525
PSPSF PSPSF
PSP Swiss Property AG $376M 108.7% -2.7%
4/4
~
70
~
-2.7%
108.7%
66 /100
526
FCO FCO
abrdn Global Income Fund, Inc. $4M 108.6% +2.1% ~
3/4
35
+2.1%
108.6%
75 /100
527
BJBIX BJBIX
Aberdeen International Sustainable Leaders Fund Class A $137M 107.9% +17.7%
4/4
~ ~
54
+17.7%
107.9%
79 /100
528
KLPEF KLPEF
Klépierre $1.4B 107.9% -3.4%
4/4
80
~
-3.4%
107.9%
78 /100
529
ADFS ADFS
American Defense Systems, Inc. $9M 107.6% -21%
1/4
36
-21%
107.6%
33 /100
530
CNECF CNECF
Centuria Capital Group $78M 106.5% -21.5% ~
3/4
~
27
~
-21.5%
106.5%
66 /100
531
ADBLX ADBLX
AMG Beutel Goodman Core Plus Bond Fund Class N $52M 106.2% +4% ~
3/4
~ ~
46
+4%
106.2%
65 /100
532
JCBZX JCBZX
JPMorgan Core Bond Fund Class R2 $52M 106.2% +4% ~
3/4
~ ~
64
+4%
106.2%
68 /100
533
VCORX VCORX
Vanguard Core Bond Fund Investor Shares $52M 106.2% +4% ~
3/4
~ ~
64
+4%
106.2%
68 /100
534
BTO BTO
John Hancock Financial Opportunities Fund $66M 106.1% +219.3% ~
3/4
41
+219.3%
106.1%
84 /100
535
JHS JHS
John Hancock Income Securities Trust $10M 105.7% +14.8% ~
3/4
35
+14.8%
105.7%
70 /100
536
USM USM
United States Cellular Corporation $163M 105.7% -35.2% ~ ~
3/4
~
20
~
-35.2%
105.7%
57 /100
537
UZA UZA
United States Cellular Corporation CALL SR NT 60 $163M 105.7% -42.1% ~
3/4
~
8
~
-42.1%
105.7%
64 /100
538
UZB UZB
United States Cellular Corporation SR NT 120163 $163M 105.7% -95.7% ~
1/2
~
20
~
-95.7%
105.7%
51 /100
539
UZC UZC
United States Cellular Corporation SR NT 64 $163M 105.7% -33.5% ~
3/4
~
8
~
-33.5%
105.7%
64 /100
540
FLIVF FLIVF
F&C Investment Trust PLC $629M 105.7% +40.4% ~
3/4
70
+40.4%
105.7%
88 /100
541
NNLRF NNLRF
Nova Net Lease REIT $2M 105.5% +441% ~
2/3
~
35
+441%
105.5%
76 /100
542
TTBXF TTBXF
Tritax Big Box REIT plc $344M 105.5% +17.7% ~
3/4
~ ~
55
+17.7%
105.5%
79 /100
543
ALKM ALKM
Alkame Holdings, Inc. 105.2% -20%
1/4
0
~
-20%
105.2%
46 /100
544
SNBC SNBC
Sun Bancorp, Inc. (NJ) $59M 104.3% -12.7% ~
2/4
~ ~
46
~
-12.7%
104.3%
68 /100
545
MEQYF MEQYF
Mainstreet Equity Corp. $276M 103.9% +15.3%
4/4
70
+15.3%
103.9%
73 /100
546
MEQ.TO MEQ.TO
Mainstreet Equity Corp. $276M 103.9% +15.3%
4/4
70
+15.3%
103.9%
73 /100
547
BANX BANX
ArrowMark Financial Corp. $17M 103% +56.2%
4/4
~
50
+56.2%
103%
86 /100
548
ERC ERC
Allspring Multi-Sector Income Fund $26M 102.9% +12.7% ~
3/4
~
50
+12.7%
102.9%
81 /100
549
EDF EDF
Virtus Stone Harbor Emerging Markets Income Fund $27M 102.4% +54.1% ~
3/4
~ ~
46
+54.1%
102.4%
79 /100
550
HKIB HKIB
AMTD International Inc. $1.1B 101.8% +9.8%
4/4
70
+9.8%
101.8%
93 /100

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

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