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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
401
BBSEY BBSEY
BB Seguridade Participações S.A. $5.8B 151.3% +8%
4/4
80
+8%
151.3%
93 /100
402
ETJ ETJ
Eaton Vance Risk-Managed Diversified Equity Income Fund $33M 150.3% +62.7% ~
3/4
~ ~
56
+62.7%
150.3%
81 /100
403
PCQ PCQ
PIMCO California Municipal Income Fund $22M 149.4% +501% ~
3/4
~
35
+501%
149.4%
72 /100
404
ETY ETY
Eaton Vance Tax-Managed Diversified Equity Income Fund $205M 148.9% +1095.1% ~
3/4
70
+1095.1%
148.9%
81 /100
405
IPZYF IPZYF
IP Group Plc $45M 148.8% +0%
1/4
~
52
+0%
148.8%
73 /100
406
WW WW
WW International, Inc. $711M 148.6% -11.9% ~
1/4
~ ~
58
~
-11.9%
148.6%
63 /100
407
DCF DCF
BNY Mellon Alcentra Global Credit Income 2024 Target Term Fund, Inc. $14M 148.3% -80.8% ~
3/4
~
21
~
-80.8%
148.3%
65 /100
408
EFM EFM
Merrill Lynch MITTS ML EuroFund Index due 2/28/2006 $1.3B 146.4% -22.2% ~
3/4
~
12
~
-22.2%
146.4%
53 /100
409
EMQ EMQ
Entergy Mississippi, 6.00% Series First Mortgage Bonds due 11/1/2032 $1.3B 146.4% -22.2% ~
3/4
~
12
~
-22.2%
146.4%
53 /100
410
MRPRF MRPRF
MERLIN Properties SOCIMI, S.A. $539M 145.9% +7.1% ~
3/4
~
70
+7.1%
145.9%
80 /100
411
FCXXF FCXXF
First Capital Real Estate Investment Trust $731M 145.5% +1.8% ~
2/4
~
66
+1.8%
145.5%
72 /100
412
FCR-UN.TO FCR-UN.TO
First Capital Real Estate Investment Trust $731M 145.5% +1% ~
2/4
~
66
+1%
145.5%
72 /100
413
CCPPF CCPPF
Shaftesbury Capital PLC $234M 145.1% +48% ~
3/4
~ ~
55
+48%
145.1%
83 /100
414
IGI IGI
Western Asset Investment Grade Defined Opportunity Trust Inc. $4M 145% +70.4% ~
3/4
~ ~
50
+70.4%
145%
77 /100
415
JBULF JBULF
Jubilee Gold Exploration Ltd. 144.9% +26.6% ~
2/4
~
50
+26.6%
144.9%
77 /100
416
HYB HYB
The New America High Income Fund Inc. $19M 144.7% -131.7% ~
3/4
~ ~
50
-131.7%
144.7%
66 /100
417
SITC SITC
SITE Centers Corp. $123M 144.4% -34.6% ~
4/4
~
8
~
-34.6%
144.4%
69 /100
418
SITC-PA SITC-PA
SITE Centers Corp. $123M 144.4% -34.6%
4/4
~
8
~
-34.6%
144.4%
65 /100
419
LGI LGI
Lazard Global Total Return and Income Fund, Inc. $23M 144% +187.6% ~
3/4
35
+187.6%
144%
83 /100
420
DF.TO DF.TO
Dividend 15 Split Corp. II $33M 143.4% +29.5% ~
2/4
~ ~
50
+29.5%
143.4%
76 /100
421
MID-UN.TO MID-UN.TO
MINT Income Fund $4M 141.9% +105.2%
4/4
35
+105.2%
141.9%
81 /100
422
AGD AGD
Abrdn Global Dynamic Dividend Fund $32M 141.3% +85.6% ~
3/4
~ ~
50
+85.6%
141.3%
80 /100
423
BDJ BDJ
BlackRock Enhanced Equity Dividend Trust $197M 140.9% +159.1% ~
3/4
70
+159.1%
140.9%
88 /100
424
FMY FMY
First Trust Mortgage Income Fund $3M 140% +26.6% ~
3/4
~
50
+26.6%
140%
85 /100
425
SSSS SSSS
SuRo Capital Corp. $35M 139.9% -152.4% ~
2/4
~
46
-152.4%
139.9%
63 /100
426
SSSSL SSSSL
SuRo Capital Corp. 6.00% Notes due 2026 $35M 139.9% -152.4% ~
2/4
~
52
-152.4%
139.9%
64 /100
427
XBP XBP
XBP Global Holdings, Inc. $791M 139.5% +144.4%
1/4
28
+144.4%
139.5%
51 /100
428
CFFE CFFE
CF Acquisition Corp. VIII $791M 139.5% +144.4%
1/4
28
+144.4%
139.5%
51 /100
429
CFFEU CFFEU
CF Acquisition Corp. VIII $791M 139.5% +144.4%
1/4
28
+144.4%
139.5%
51 /100
430
CFFEW CFFEW
CF Acquisition Corp. VIII $791M 139.5% +144.4%
1/4
28
+144.4%
139.5%
51 /100
431
XBPEW XBPEW
XBP Europe Holdings, Inc. $791M 139.5% +144.4%
1/4
28
+144.4%
139.5%
51 /100
432
PPSI PPSI
Pioneer Power Solutions, Inc. $23M 139.2% +18.8%
1/4
29
+18.8%
139.2%
78 /100
433
MDTWF MDTWF
Mediterranean Towers Ltd. $281M 138.2% +6.3%
4/4
~
51
+6.3%
138.2%
73 /100
434
CNGLX CNGLX
Commonwealth Global Fund $61M 137.4% -2.6% ~
3/4
~
46
~
-2.6%
137.4%
71 /100
435
HLMNX HLMNX
Harding Loevner International Equity Portfolio $61M 137.4% -2.6% ~ ~
3/4
~
64
~
-2.6%
137.4%
71 /100
436
PCIEX PCIEX
PACE International Equity Investments Class P $61M 137.4% -2.6% ~
3/4
~
52
~
-2.6%
137.4%
72 /100
437
PWGAX PWGAX
PACE International Equity Investments $61M 137.4% -2.6% ~
3/4
~
52
~
-2.6%
137.4%
72 /100
438
KG KG
Kestrel Group, Ltd. $34M 137.2% +421.7% ~
2/3
~ ~
50
+421.7%
137.2%
76 /100
439
MH-PA MH-PA
Maiden Holdings, Ltd. $34M 137.2% +35.4%
1/4
~
35
~
+35.4%
137.2%
55 /100
440
MH-PC MH-PC
Maiden Holdings, Ltd. $34M 137.2% +35.4%
1/4
~
35
~
+35.4%
137.2%
55 /100
441
MH-PD MH-PD
Maiden Holdings, Ltd. $34M 137.2% +35.4%
1/4
~
35
~
+35.4%
137.2%
55 /100
442
EFSH EFSH
1847 Holdings LLC $48.3B 135.7% +7673.9%
1/4
~
59
+7673.9%
135.7%
54 /100
443
DS.TO DS.TO
Dividend Select 15 Corp. $5M 134.8% +77.7% ~
3/4
~
50
+77.7%
134.8%
85 /100
444
DVVDF DVVDF
Dividend Select 15 Corp. $5M 134.8% -116.9% ~
3/4
~
50
-116.9%
134.8%
71 /100
445
CNXX CNXX
CONX Corp. $2.0B 133.6% +0% ~
3/4
23
+0%
133.6%
67 /100
446
CONX CONX
Direxion Daily COIN Bull 2X ETF $2.0B 133.6% +0% ~
3/4
23
+0%
133.6%
67 /100
447
CONXU CONXU
CONX Corp. $2.0B 133.6% +0% ~
3/4
23
+0%
133.6%
67 /100
448
CONXW CONXW
CONX Corp. $2.0B 133.6% +0% ~
3/4
23
+0%
133.6%
81 /100
449
PRMRF PRMRF
Paramount Resources Ltd. $965M 133.4% -23.7%
4/4
27
~
-23.7%
133.4%
70 /100
450
POU.TO POU.TO
Paramount Resources Ltd. $966M 133.4% -22.3%
4/4
27
~
-22.3%
133.4%
70 /100

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

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