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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
51
BML-PG BML-PG
Bank of America Corporation $191.6B 15.9% +20.3%
4/4
79
+20.3%
15.9%
62 /100
52
BML-PJ BML-PJ
Bank of America Corporation $191.6B 15.9% +20.3%
4/4
79
+20.3%
15.9%
62 /100
53
IDCBY IDCBY
Industrial & Commercial Bank of China Ltd. $1.5T 24.1% +23.8%
4/4
79
~
+23.8%
24.1%
71 /100
54
RHHVF RHHVF
Roche Holding AG $61.5B 20.9% -0.9%
4/4
~
94
~
-0.9%
20.9%
67 /100
55
INTC INTC
Intel Corporation $52.9B -0.5% -5.5% ~
2/4
~ ~
65
-5.5%
-0.5%
37 /100
56
BABAF BABAF
Alibaba Group Holding Limited $996.3B 13.1% +5.3%
4/4
87
+5.3%
~
13.1%
88 /100
57
BAC-PE BAC-PE
Bank of America Corporation $191.6B 15.9% +20.3%
4/4
79
+20.3%
15.9%
62 /100
58
AZN AZN
AstraZeneca PLC $58.7B 17.5% +10%
4/4
~
94
+10%
17.5%
64 /100
59
HSBC HSBC
HSBC Holdings plc $147.9B 15.1% +43.8%
4/4
79
+43.8%
15.1%
65 /100
60
AMAT AMAT
Applied Materials, Inc. $28.4B 24.7% +3.2% ~
4/4
83
~
+3.2%
24.7%
77 /100
61
IDCBF IDCBF
Industrial and Commercial Bank of China Limited $1.5T 24.1% +26.3%
4/4
79
~
+26.3%
24.1%
66 /100
62
PLTR PLTR
Palantir Technologies Inc. $4.5B 36.3% +33.9% ~ ~
3/4
86
+33.9%
36.3%
78 /100
63
BABA BABA
Alibaba Group Holding Limited $996.3B 13.1% +5.3%
4/4
87
+5.3%
~
13.1%
87 /100
64
HBCYF HBCYF
HSBC Holdings plc $150.8B 15.1% +37.8%
4/4
79
+37.8%
15.1%
68 /100
65
NVSEF NVSEF
Novartis AG $57.1B 25.6% +3.8%
4/4
~
94
+3.8%
25.6%
73 /100
66
MRK MRK
Merck & Co., Inc. $65.0B 28.1% +3.2%
4/4
94
+3.2%
28.1%
83 /100
67
NVS NVS
Novartis AG $54.8B 25.6% +2.3% ~
4/4
~
94
+2.3%
25.6%
68 /100
68
RCIT RCIT
Reelcause, Inc. 0% +0%
0/4
~
52
+0%
0%
15 /100
69
AZNCF AZNCF
AstraZeneca PLC $58.7B 17.4% +10%
4/4
~
94
+10%
17.4%
69 /100
70
MS MS
Morgan Stanley $115.0B 14.7% +29.9% ~ ~
4/4
79
+29.9%
~
14.7%
64 /100
71
UNH UNH
UnitedHealth Group Incorporated $447.6B 2.7% +11.6%
4/4
~
51
~
+11.6%
2.7%
58 /100
72
LVMHF LVMHF
LVMH Moët Hennessy - Louis Vuitton, Société Européenne $80.8B 13.5% +0.8%
4/4
85
+0.8%
~
13.5%
73 /100
73
LVMUY LVMUY
LVMH Moët Hennessy - Louis Vuitton, Société Européenne $77.6B 13.5% -0.4%
4/4
85
-0.4%
~
13.5%
71 /100
74
TM TM
Toyota Motor Corporation $48.0T 9.9% +15.4%
4/4
~ ~
62
+15.4%
~
9.9%
64 /100
75
TOYOF TOYOF
Toyota Motor Corporation $48.0T 9.9% +15.4%
4/4
~ ~
62
+15.4%
~
9.9%
69 /100
76
RTX RTX
RTX Corporation $88.6B 7.6% +9.9%
4/4
~ ~
69
+9.9%
~
7.6%
60 /100
77
GS GS
The Goldman Sachs Group, Inc. $125.1B 13.7% +24.5% ~
4/4
72
+24.5%
~
13.7%
60 /100
78
ACGBY ACGBY
Agricultural Bank of China Limited $1.4T 21.5% +31.7%
4/4
79
+31.7%
21.5%
74 /100
79
GEV GEV
GE Vernova Inc. $38.1B 12.8% +8.7% ~ ~
2/4
~ ~
62
+8.7%
~
12.8%
61 /100
80
ABALX ABALX
American Funds American Balanced Fund Class A $833M 7.3% +38.6%
4/4
~
54
+38.6%
~
7.3%
81 /100
81
CICHF CICHF
China Construction Bank Corporation $1.3T 24.9% +22.7%
4/4
72
+22.7%
24.9%
70 /100
82
AFMBX AFMBX
American Funds American Balanced Fund $833M 7.3% +38.6%
4/4
~
54
+38.6%
~
7.3%
81 /100
83
NSRGY NSRGY
Nestlé S.A. $85.5B 10.1% -3.2%
4/4
83
-3.2%
~
10.1%
49 /100
84
ACGBF ACGBF
Agricultural Bank of China Limited $1.4T 21.5% +31.7%
4/4
79
+31.7%
21.5%
74 /100
85
SHEL SHEL
Shell plc $267.5B 6.7% -11% ~ ~
4/4
~ ~
57
-11%
~
6.7%
52 /100
86
NSRGF NSRGF
Nestlé S.A. $89.5B 10.1% -1.9%
4/4
83
-1.9%
~
10.1%
54 /100
87
RYDAF RYDAF
Shell plc $272.8B 6.7% -10.4% ~
4/4
~ ~
57
-10.4%
~
6.7%
58 /100
88
WFC WFC
Wells Fargo & Company $123.5B 17.3% +15.2% ~
4/4
79
+15.2%
17.3%
63 /100
89
FLRAP FLRAP
Fluor Corporation $15.5B -0.3% +4.4% ~
3/4
~ ~
46
+4.4%
-0.3%
47 /100
90
PM PM
Philip Morris International Inc. $40.6B 27.9% +8.6%
4/4
~
90
+8.6%
27.9%
76 /100
91
RY RY
Royal Bank of Canada $137.4B 14.8% +30.1% ~
4/4
72
+30.1%
~
14.8%
52 /100
92
WFC-PL WFC-PL
Wells Fargo & Company $123.5B 17.3% +15.2%
4/4
79
+15.2%
17.3%
59 /100
93
RY.TO RY.TO
Royal Bank of Canada $137.4B 14.8% +55.1%
4/4
72
+55.1%
~
14.8%
59 /100
94
VZA VZA
Verizon Communications, 5.9% 15 Feb 2054 $138.2B 12.7% +0.3% ~
4/4
~
79
~
+0.3%
~
12.7%
71 /100
95
KLAC KLAC
KLA Corporation $12.2B 33.4% +10.4% ~
4/4
86
+10.4%
33.4%
76 /100
96
LIN LIN
Linde plc $34.0B 20.3% +0.6%
4/4
~
79
+0.6%
20.3%
70 /100
97
C C
Citigroup Inc. $168.3B 8.5% +21.2% ~
4/4
72
+21.2%
~
8.5%
60 /100
98
LRLCY LRLCY
L'Oréal S.A. $44.1B 13.9% +4.8% ~
4/4
90
~
+4.8%
~
13.9%
62 /100
99
IBM IBM
International Business Machines Corporation $67.5B 15.7% +3.8% ~
4/4
94
+3.8%
15.7%
68 /100
100
AXP AXP
American Express Company $80.5B 13.5% +13.2% ~ ~
4/4
79
+13.2%
~
13.5%
59 /100

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

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