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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
351
TLLYF TLLYF
Trilogy International Partners Inc. $239M 181.7% -22.8% ~
2/4
~ ~
47
-22.8%
181.7%
61 /100
352
FOF FOF
Cohen & Steers Closed-End Opportunity Fund, Inc. $35M 180.8% +664% ~
3/4
~
50
+664%
180.8%
85 /100
353
BXLC BXLC
Bexil Corporation $3M 179.8% +21% ~
3/4
~
46
+21%
179.8%
84 /100
354
TYG TYG
Tortoise Energy Infrastructure Corporation $11M 178.6% +360% ~
3/4
~
6
+360%
178.6%
61 /100
355
AD AD
Array Digital Infrastructure, Inc. $163M 178.5% -35.2% ~
3/4
34
~
-35.2%
178.5%
65 /100
356
UZD UZD
Array Digital Infrastructure, Inc. 6.250% Senior Notes due 2069 $163M 178.5% -35.2% ~
3/4
34
~
-35.2%
178.5%
60 /100
357
UZE UZE
Array Digital Infrastructure, Inc. 5.500% Senior Notes due 2070 $163M 178.5% -35.2% ~
3/4
34
~
-35.2%
178.5%
60 /100
358
UZF UZF
Array Digital Infrastructure, Inc. 5.500% Senior Notes due 2070 $163M 178.5% -35.2% ~
3/4
34
~
-35.2%
178.5%
60 /100
359
RCG RCG
RENN Fund, Inc. 178% +1082.8% ~
2/4
~
50
+1082.8%
178%
74 /100
360
ISD ISD
PGIM High Yield Bond Fund, Inc. $26M 173.8% +47.4% ~
3/4
~ ~
50
+47.4%
173.8%
80 /100
361
MIN MIN
MFS Intermediate Income Trust $11M 172.8% +39.5% ~
3/4
35
+39.5%
172.8%
80 /100
362
GLO GLO
Clough Global Opportunities Fund $28M 172.2% -56.5% ~
2/4
35
~
-56.5%
172.2%
72 /100
363
DTRK DTRK
DATATRAK International, Inc. $7M 171% +1.8% ~
2/4
~
50
+1.8%
171%
77 /100
364
STEW STEW
SRH Total Return Fund, Inc. $102M 170.8% +8.5%
4/4
~ ~
66
+8.5%
170.8%
84 /100
365
TTP TTP
Tortoise Pipeline & Energy Fund, Inc. $3M 169.8% -44.5% ~
3/4
~
0
~
-44.5%
169.8%
55 /100
366
EOD EOD
Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund $36M 168.7% +98.4% ~
3/4
~ ~
50
+98.4%
168.7%
80 /100
367
CRF CRF
Cornerstone Total Return Fund, Inc. $96M 168.5% -11.3% ~
3/4
41
~
-11.3%
168.5%
77 /100
368
BCAUF BCAUF
Brilliance China Automotive Holdings Limited $1.2B 168% +0.7%
4/4
~
31
+0.7%
168%
69 /100
369
PDGNF PDGNF
Pendragon PLC $23M 167.8% -23.3% ~
3/4
~
50
~
-23.3%
167.8%
78 /100
370
PINWF PINWF
Pinewood Technologies Group PLC $23M 167.8% -23.3% ~
3/4
~
50
~
-23.3%
167.8%
78 /100
371
VGPBF VGPBF
VGP N.V. $175M 166% +26.6% ~
3/4
~
70
+26.6%
166%
87 /100
372
EMD EMD
Western Asset Emerging Markets Debt Fund Inc. $61M 165.2% +190.4% ~
3/4
~ ~
56
+190.4%
165.2%
81 /100
373
CII CII
BlackRock Enhanced Capital and Income Fund, Inc. $126M 164.9% +514.4% ~
3/4
~
64
+514.4%
164.9%
87 /100
374
ATHN ATHN
Athena Technology Acquisition Corp. $20M 164% +699.1%
1/4
~
62
+699.1%
164%
79 /100
375
HLGN HLGN
Heliogen, Inc. $20M 164% +699.1%
1/4
~
50
+699.1%
164%
71 /100
376
HLGN-WT HLGN-WT
Heliogen, Inc. $20M 164% +699.1%
1/4
~
50
+699.1%
164%
71 /100
377
ETB ETB
Eaton Vance Tax-Managed Buy-Write Income Fund $37M 162.9% +461.9% ~
3/4
35
+461.9%
162.9%
83 /100
378
MAQAF MAQAF
Atlas Arteria Limited $160M 162.2% +10.6%
4/4
~
35
+10.6%
162.2%
67 /100
379
HGPI HGPI
Horizon Group Properties, Inc. $6M 162.1% +32.2%
4/4
~ ~
50
+32.2%
162.1%
82 /100
380
ALTEX ALTEX
Firsthand Alternative Energy Fund $70M 161.9% +68.7% ~
3/4
~ ~
46
+68.7%
161.9%
77 /100
381
KREVF KREVF
Keppel REIT $281M 161.4% +13%
4/4
~
55
+13%
161.4%
75 /100
382
CVAS CVAS
Creative Vistas, Inc. $7M 160.6% -32.9%
1/4
43
~
-32.9%
160.6%
43 /100
383
EDD EDD
Morgan Stanley Emerging Markets Domestic Debt Fund, Inc. $43M 159.6% +5.6% ~
3/4
~ ~
46
+5.6%
159.6%
76 /100
384
SNCPF SNCPF
Sun Corporation $10.8B 159% -21.5% ~
3/4
~
42
~
-21.5%
159%
72 /100
385
GAB GAB
The Gabelli Equity Trust Inc. $191M 158.6% +239.6% ~
3/4
~
55
+239.6%
158.6%
86 /100
386
GAB-PG GAB-PG
The Gabelli Equity Trust Inc. PFD-G $191M 158.6% +239.6% ~
3/4
~
55
+239.6%
158.6%
82 /100
387
GAB-PH GAB-PH
The Gabelli Equity Trust Inc. $191M 158.6% +239.6% ~
3/4
~
55
+239.6%
158.6%
82 /100
388
GAB-PK GAB-PK
The Gabelli Equity Trust Inc. $191M 158.6% +239.6% ~
3/4
~
55
+239.6%
158.6%
82 /100
389
CLM CLM
Cornerstone Strategic Value Fund, Inc. $198M 158.1% -11.9% ~
3/4
70
~
-11.9%
158.1%
81 /100
390
ETV ETV
Eaton Vance Tax-Managed Buy-Write Opportunities Fund $140M 157.9% -12.8% ~
3/4
70
~
-12.8%
157.9%
75 /100
391
CHW CHW
Calamos Global Dynamic Income Fund $59M 157.3% +160.1% ~
3/4
~ ~
56
+160.1%
157.3%
81 /100
392
OBEGX OBEGX
Oberweis Global Opportunities Fund Investor Class $24M 157.2% +27.9% ~
3/4
~ ~
46
+27.9%
157.2%
77 /100
393
CGO CGO
Calamos Global Total Return Fund $14M 156.6% +99.7% ~
3/4
~
35
+99.7%
156.6%
77 /100
394
SBSNF SBSNF
Vend Marketplaces Asa $8.3B 156.3% -13.3% ~
2/4
~ ~
65
~
-13.3%
156.3%
77 /100
395
SPKOY SPKOY
Sinopec Kantons Holdings Limited $658M 156.1% +2.3%
4/4
~
59
+2.3%
156.1%
86 /100
396
TDYT TDYT
Thermodynetics Inc. 155.7% -45.6% ~
2/4
~
50
-45.6%
155.7%
41 /100
397
VDKB VDKB
Vodka Brands Corp 155.1% -7.4%
1/4
~
29
~
-7.4%
155.1%
59 /100
398
UTF UTF
Cohen & Steers Infrastructure Fund, Inc $249M 154.3% +42.2% ~
3/4
70
+42.2%
154.3%
88 /100
399
EXG EXG
Eaton Vance Tax-Managed Global Diversified Equity Income Fund $273M 153% +367.5% ~
3/4
~
70
+367.5%
153%
76 /100
400
AVACF AVACF
Avance Gas Holding Ltd $291M 152.2% +14.7%
4/4
~
58
+14.7%
152.2%
76 /100

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

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