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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
EMR EMR
Emerson Electric Co. $18.0B 12.7% -1.5% ~
4/4
84
~
-1.5%
~
12.7%
59 /100
452
RNMBY RNMBY
Rheinmetall AG $9.5B 7% +15.2%
4/4
44
+15.2%
~
7%
67 /100
453
CVNA CVNA
Carvana Co. $20.3B 6.9% +18.2% ~ ~
3/4
~
63
+18.2%
~
6.9%
69 /100
454
CDNS CDNS
Cadence Design Systems, Inc. $5.3B 20.9% +14.1%
4/4
71
+14.1%
20.9%
78 /100
455
EIPAF EIPAF
Eni S.p.A. $82.1B 3.2% -14.3% ~ ~
4/4
38
-14.3%
3.2%
42 /100
456
EPD EPD
Enterprise Products Partners L.P. $52.6B 11.1% -2.6% ~ ~
4/4
~ ~
60
-2.6%
~
11.1%
59 /100
457
BCLYF BCLYF
Barclays PLC $50.8B 14.1% +25.2%
4/4
73
+25.2%
~
14.1%
69 /100
458
MMM MMM
3M Company $24.9B 13% -9.3% ~ ~ ~
3/4
~ ~
61
-9.3%
~
13%
50 /100
459
SHECY SHECY
Shin-Etsu Chemical Co., Ltd. $2.6T 20.9% +9.1%
4/4
~
65
+9.1%
20.9%
83 /100
460
ABNB ABNB
Airbnb, Inc. $12.2B 20.5% +13.4% ~ ~
4/4
80
+13.4%
20.5%
77 /100
461
SNPS SNPS
Synopsys, Inc. $7.1B 18.9% +11.7%
4/4
~
71
+11.7%
18.9%
72 /100
462
OVCHF OVCHF
Oversea-Chinese Banking Corporation Limited $26.1B 28.5% +39.6%
4/4
~
69
+39.6%
28.5%
77 /100
463
DTRUY DTRUY
Daimler Truck Holding AG $43.7B 4.3% -4.2%
4/4
~
63
-4.2%
4.3%
52 /100
464
AMX AMX
América Móvil, S.A.B. de C.V. $885.1B 8.8% +1.7%
4/4
77
+1.7%
~
8.8%
56 /100
465
CSX CSX
CSX Corporation $14.1B 20.5% -1.7% ~
4/4
~
55
-1.7%
20.5%
54 /100
466
SOAGY SOAGY
Sartorius AG $3.4B 4.4% -6.2%
4/4
~
58
-6.2%
4.4%
36 /100
467
ADP ADP
Automatic Data Processing, Inc. $20.6B 19.8% +7.6% ~ ~
4/4
~
84
+7.6%
19.8%
72 /100
468
NTTYY NTTYY
NTT, Inc. $13.7T 7.3% +4.1%
4/4
~ ~
52
+4.1%
~
7.3%
68 /100
469
REGN REGN
Regeneron Pharmaceuticals, Inc. $14.3B 31.4% +5.7%
4/4
80
~
+5.7%
31.4%
83 /100
470
ITW ITW
Illinois Tool Works Inc. $16.0B 19.1% +0.2%
4/4
~
77
~
+0.2%
19.1%
58 /100
471
CRH CRH
CRH plc $31.9B 10% -0.6%
4/4
~
70
~
-0.6%
~
10%
68 /100
472
NPPXF NPPXF
NTT, Inc. $13.7T 7.3% +4.1%
4/4
~
84
+4.1%
~
7.3%
66 /100
473
FINMY FINMY
Leonardo S.p.A. $18.7B 6.3% +8.5% ~
4/4
~ ~
45
+8.5%
~
6.3%
55 /100
474
ORLY ORLY
O'Reilly Automotive, Inc. $17.8B 14.3% +7.3% ~
4/4
~
80
+7.3%
~
14.3%
66 /100
475
BAM BAM
Brookfield Asset Management Ltd. $4.9B 51.6% +284.4% ~
4/4
80
+284.4%
51.6%
87 /100
476
BKFCF BKFCF
Bank of Communications Co., Ltd. $498.9B 18.7% +31.9%
4/4
~
66
+31.9%
18.7%
66 /100
477
MCO MCO
Moody's Corporation $7.7B 31.9% +12.3% ~ ~
4/4
~
71
+12.3%
31.9%
76 /100
478
MIELY MIELY
Mitsubishi Electric Corporation $5.5T 5.9% +7.3%
4/4
74
+7.3%
~
5.9%
80 /100
479
AMXOF AMXOF
América Móvil, S.A.B. de C.V. $869.2B 2.6% -32.3%
4/4
84
-32.3%
2.6%
53 /100
480
SLB SLB
SLB N.V. $35.7B 9.4% +8.6%
4/4
~
52
~
+8.6%
~
9.4%
69 /100
481
ECL ECL
Ecolab Inc. $16.1B 12.9% +4.3% ~
4/4
~
77
+4.3%
~
12.9%
70 /100
482
BAM.TO BAM.TO
Brookfield Asset Management Ltd. $4.6B 54.9% +440.9%
4/4
~
80
+440.9%
54.9%
69 /100
483
AMDLY AMDLY
Amada Co., Ltd. $396.7B 8.2% +8.5%
4/4
81
+8.5%
~
8.2%
79 /100
484
RCL RCL
Royal Caribbean Cruises Ltd. $17.9B 23.8% +28.2% ~ ~
3/4
77
+28.2%
23.8%
68 /100
485
HLT HLT
Hilton Worldwide Holdings Inc. $12.0B 12.1% +11.2%
4/4
77
+11.2%
~
12.1%
62 /100
486
SU SU
Suncor Energy Inc. $48.9B 12.1% -5% ~ ~
4/4
84
-5%
~
12.1%
65 /100
487
VALE VALE
Vale S.A. $38.2B 6.5% -4.3%
4/4
~ ~
55
-4.3%
~
6.5%
46 /100
488
BREJY BREJY
mBank S.A. $14.0B 24.3% +19.9% ~
3/4
~ ~
69
+19.9%
24.3%
76 /100
489
PSTVY PSTVY
Postal Savings Bank of China Co., Ltd. $549.8B 15.5% +47.8%
4/4
~
73
~
+47.8%
15.5%
67 /100
490
SU.TO SU.TO
Suncor Energy Inc. $48.9B 12.1% -5.4%
4/4
73
-5.4%
~
12.1%
68 /100
491
ATVI ATVI
Activision Blizzard, Inc. $7.5B 20.1% +6.3% ~
4/4
80
+6.3%
20.1%
72 /100
492
MDLZ MDLZ
Mondelez International, Inc. $38.5B 6.4% +7.1% ~
4/4
~ ~
48
+7.1%
~
6.4%
61 /100
493
NU NU
Nu Holdings Ltd. $15.9B 18.1% +52.5% ~
3/4
77
+52.5%
18.1%
68 /100
494
GM GM
General Motors Company $185.0B 1.5% +5.8%
4/4
38
~
+5.8%
1.5%
53 /100
495
MIELF MIELF
Mitsubishi Electric Corporation $5.5T 5.9% +3.4%
4/4
74
+3.4%
~
5.9%
78 /100
496
PSBKF PSBKF
Postal Savings Bank of China Co., Ltd. $345.9B 24.6% -7%
4/4
73
-7%
24.6%
76 /100
497
CP CP
Canadian Pacific Kansas City Ltd. $15.1B 27.5% +20.7%
4/4
80
+20.7%
27.5%
72 /100
498
VOLVF VOLVF
AB Volvo (publ) $479.2B 7.2% +1%
4/4
~ ~
63
~
+1%
~
7.2%
76 /100
499
AEP AEP
American Electric Power Company, Inc. $21.8B 16.4% +3.7% ~ ~
4/4
~
55
+3.7%
16.4%
54 /100
500
B B
Barrick Mining Corporation $17.0B 29.4% +278.9%
4/4
84
+278.9%
29.4%
89 /100

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

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