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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
951
UAMA UAMA
United American Corp, Inc. $2M 73.1% +73.8% ~
3/4
0
+73.8%
73.1%
66 /100
952
CEM CEM
ClearBridge MLP and Midstream Fund Inc $83M 73% -24.4% ~ ~
3/4
~
41
~
-24.4%
73%
58 /100
953
NAPRF NAPRF
Naspers Limited $7.2B 73% -2.7%
4/4
~
73
-2.7%
73%
71 /100
954
NPSNY NPSNY
Naspers Limited $7.2B 73% -2.7%
4/4
~ ~
67
-2.7%
73%
76 /100
955
PUODY PUODY
Promotora y Operadora de Infraestructura, S. A. B. de C. V. $18.8B 73% +9.7%
4/4
74
+9.7%
73%
87 /100
956
PYOIF PYOIF
Promotora y Operadora de Infraestructura, S. A. B. de C. V. $20.0B 73% +11.9%
4/4
74
+11.9%
73%
81 /100
957
EOT EOT
Eaton Vance National Municipal Opportunities Trust $7M 72.7% -54.9% ~
2/4
35
~
-54.9%
72.7%
55 /100
958
GAIN GAIN
Gladstone Investment Corporation $90M 72.7% +45.3%
4/4
~
56
+45.3%
72.7%
68 /100
959
NPCT NPCT
Nuveen Core Plus Impact Fund $35M 72.7% +29.9% ~
3/4
35
+29.9%
72.7%
65 /100
960
SMLR SMLR
Semler Scientific, Inc. $56M 72.7% +3.2%
4/4
~
50
+3.2%
72.7%
88 /100
961
GAINL GAINL
Gladstone Investment Corporation $90M 72.7% +45.3%
4/4
~
56
+45.3%
72.7%
67 /100
962
GAINM GAINM
Gladstone Investment Corporation $90M 72.7% +45.3%
4/4
~
50
+45.3%
72.7%
72 /100
963
GAINN GAINN
Gladstone Investment Corporation 5.00% Notes Due 2026 $90M 72.7% +45.3%
4/4
~
56
+45.3%
72.7%
75 /100
964
GAINZ GAINZ
Gladstone Investment Corporation 4.875% Notes due 2028 $90M 72.7% +45.3%
4/4
~
56
+45.3%
72.7%
75 /100
965
FSCO FSCO
FS Credit Opportunities Corp. $206M 72.6% -11.2% ~
3/4
~
55
~
-11.2%
72.6%
76 /100
966
TGTX TGTX
TG Therapeutics, Inc. $616M 72.6% +2806% ~
3/4
~
55
+2806%
72.6%
84 /100
967
GAINI GAINI
Gladstone Investment Corporation $118M 72.6% +20.8%
4/4
~
64
+20.8%
72.6%
87 /100
968
SPG SPG
Simon Property Group, Inc. $6.4B 72.5% +6.4% ~
4/4
80
+6.4%
72.5%
65 /100
969
SPG-PJ SPG-PJ
Simon Property Group, Inc. $6.4B 72.5% +6.4% ~
4/4
80
+6.4%
72.5%
71 /100
970
AMEN AMEN
AMEN Properties, Inc. $2M 72.4% -13.7%
4/4
14
-13.7%
72.4%
67 /100
971
BPIRF BPIRF
Piraeus Financial Holdings S.A. $1.9B 72.4% -3.5%
4/4
~
76
~
-3.5%
72.4%
77 /100
972
PFO PFO
Flaherty & Crumrine Preferred Income Opportunity Fund Inc. $15M 72.3% +18.7% ~
3/4
35
+18.7%
72.3%
70 /100
973
OBDE OBDE
Blue Owl Capital Corporation III $412M 72.3% +611%
4/4
~
66
+611%
72.3%
93 /100
974
AZLAF AZLAF
Prairie Lithium Ltd. $15M 72.1% +981.6%
1/4
~
46
~
+981.6%
72.1%
69 /100
975
MARPS MARPS
Marine Petroleum Trust $1M 72% +80.7%
4/4
~
46
+80.7%
72%
86 /100
976
TNSGF TNSGF
Findev Inc. $4M 71.9% +10.8%
4/4
~
46
~
+10.8%
71.9%
80 /100
977
NSH NSH
NavSight Holdings, Inc. $71.6B 71.7% +32347.9%
1/4
~ ~
59
+32347.9%
71.7%
76 /100
978
NXN NXN
Nuveen New York Select Tax-Free Income Portfolio $2M 71.7% -167.4% ~
2/4
~
46
-167.4%
71.7%
60 /100
979
SPIR SPIR
Spire Global, Inc. $72M 71.7% +0.3%
1/4
~
34
+0.3%
71.7%
54 /100
980
NSH-UN NSH-UN
NavSight Holdings, Inc. $71.6B 71.7% +32347.9%
1/4
~ ~
59
+32347.9%
71.7%
76 /100
981
SPIR-WT SPIR-WT
Spire Global, Inc. $72M 71.7% +0.3%
1/4
~
28
+0.3%
71.7%
61 /100
982
SFFFF SFFFF
Peugeot Invest S.A. $362M 71.6% -0.6%
4/4
70
~
-0.6%
71.6%
84 /100
983
CVTGF CVTGF
Clairvest Group Inc. $171M 71.5% +149.9% ~
3/4
~
64
+149.9%
71.5%
87 /100
984
CVG.TO CVG.TO
Clairvest Group Inc. $171M 71.5% +65.4% ~
3/4
~
60
+65.4%
71.5%
87 /100
985
HHGC HHGC
HHG Capital Corporation $2M 71.3% +280% ~
2/4
~ ~
46
+280%
71.3%
58 /100
986
HHGCR HHGCR
HHG Capital Corporation $2M 71.3% +280% ~
2/4
~ ~
46
+280%
71.3%
72 /100
987
HHGCU HHGCU
HHG Capital Corporation $2M 71.3% +280% ~
2/4
~ ~
46
+280%
71.3%
58 /100
988
HHGCW HHGCW
HHG Capital Corporation $2M 71.3% +280% ~
2/4
~ ~
46
+280%
71.3%
72 /100
989
PDV.TO PDV.TO
Prime Dividend Corp. $3M 71.2% +2430.9% ~
2/4
~
46
+2430.9%
71.2%
78 /100
990
BSM BSM
Black Stone Minerals, L.P. $422M 71% -13.5%
4/4
~
55
-13.5%
71%
75 /100
991
IVSBF IVSBF
Investor AB (publ) $221.9B 71% +11.2% ~
3/4
94
+11.2%
71%
83 /100
992
IVSXF IVSXF
Investor AB (publ) $221.9B 71% +11.2% ~
3/4
94
+11.2%
71%
91 /100
993
RMIAF RMIAF
Automotive Finco Corp. $3M 70.9% +395.8% ~
2/4
~
46
+395.8%
70.9%
80 /100
994
PSHZF PSHZF
Pershing Square Holdings, Ltd. $1.7B 70.7% +29.2% ~
3/4
80
+29.2%
70.7%
94 /100
995
KEWL KEWL
Keweenaw Land Association, Limited 70.5% +23.1% ~
2/4
35
+23.1%
70.5%
65 /100
996
CYFRF CYFRF
Sol Strategies, Inc. $9M 70.3% +1272% ~
2/4
35
~
+1272%
70.3%
55 /100
997
PDSSF PDSSF
Paradise Entertainment Limited $201M 70.3% +34.2% ~
3/4
~ ~
58
+34.2%
70.3%
81 /100
998
PLYM PLYM
Plymouth Industrial REIT, Inc. $198M 70.2% +12.9% ~ ~
2/4
~
64
+12.9%
70.2%
56 /100
999
PLYM-PA PLYM-PA
Plymouth Industrial REIT, Inc. $198M 70.2% +12.9% ~
2/4
~
58
+12.9%
70.2%
72 /100
1000
ACP ACP
Abrdn Income Credit Strategies Fund $58M 70.1% +41.7% ~
3/4
~
41
+41.7%
70.1%
76 /100

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

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