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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
201
BAC-PN BAC-PN
Bank of America Corporation $191.6B 15.9% +20.3%
4/4
79
+20.3%
15.9%
62 /100
202
GLW GLW
Corning Incorporated $15.6B 10.2% +4%
4/4
~
76
+4%
~
10.2%
59 /100
203
PNGAY PNGAY
Ping An Insurance (Group) Company of China, Ltd. $1.0T 12.9% +3.6%
4/4
~
90
+3.6%
~
12.9%
68 /100
204
HON HON
Honeywell International Inc. $37.4B 13.7% +1.9% ~ ~
4/4
76
~
+1.9%
~
13.7%
59 /100
205
RYCEF RYCEF
Rolls-Royce Holdings plc $21.2B 27.5% +16.3% ~ ~
3/4
~ ~
69
+16.3%
27.5%
67 /100
206
BUDFF BUDFF
Anheuser-Busch InBev SA/NV $61.7B 11.5% +2.2% ~
4/4
90
~
+2.2%
~
11.5%
64 /100
207
WELL WELL
Welltower Inc. $10.7B 8.8% +22.5%
4/4
~
72
+22.5%
~
8.8%
65 /100
208
BUD BUD
Anheuser-Busch InBev SA/NV $59.5B 11.5% +1% ~ ~
4/4
90
~
+1%
~
11.5%
64 /100
209
APP APP
AppLovin Corporation $5.5B 60.8% +25.5% ~
3/4
~
86
+25.5%
60.8%
84 /100
210
FRCOY FRCOY
Fast Retailing Co., Ltd. $3.4T 12.7% +14%
4/4
90
+14%
~
12.7%
78 /100
211
COP COP
ConocoPhillips $59.7B 13.3% -7.6% ~
4/4
71
-7.6%
~
13.3%
60 /100
212
UNLYD UNLYD
Unilever PLC $60.8B 9.5% +5.2%
4/4
87
~
+5.2%
~
9.5%
59 /100
213
T-PA T-PA
AT&T Inc. $125.6B 17.4% +1.3% ~
3/4
94
+1.3%
17.4%
63 /100
214
HTHIY HTHIY
Hitachi, Ltd. $9.8T 6.3% -1.3%
4/4
73
-1.3%
~
6.3%
70 /100
215
BKNG BKNG
Booking Holdings Inc. $26.9B 20.1% +16.5%
4/4
~
90
+16.5%
20.1%
78 /100
216
PDD PDD
PDD Holdings Inc. $420.1B 23% +51.8%
4/4
79
+51.8%
23%
91 /100
217
HTHIF HTHIF
Hitachi, Ltd. $9.8T 6.3% -3.3%
4/4
73
-3.3%
~
6.3%
67 /100
218
IFAFX IFAFX
The Income Fund of America, Class F-1 Shares $96.1B 28.2% +0.8%
4/4
90
+0.8%
28.2%
79 /100
219
QCOM QCOM
QUALCOMM Incorporated $44.3B 12.5% +1.2% ~
4/4
81
+1.2%
~
12.5%
68 /100
220
BAC-PS BAC-PS
Bank of America Corporation $191.6B 15.9% +20.3%
4/4
79
+20.3%
15.9%
62 /100
221
LMT LMT
Lockheed Martin Corporation $75.1B 6.7% +4.4% ~ ~
4/4
~
57
+4.4%
~
6.7%
50 /100
222
DHR DHR
Danaher Corporation $24.6B 14.7% -7.1%
4/4
86
-7.1%
~
14.7%
67 /100
223
SNDK SNDK
Sandisk Corporation $7.4B -22.3% +6.6% ~
0/4
~
72
~
+6.6%
-22.3%
35 /100
224
LOW LOW
Lowe's Companies, Inc. $86.3B 7.7% +-0% ~
4/4
~
80
+-0%
~
7.7%
61 /100
225
HDB HDB
HDFC Bank Limited $2.7T 25.9% +62.6%
4/4
~
94
+62.6%
25.9%
73 /100
226
UBS UBS
UBS Group AG $59.1B 10.4% +21.1% ~
4/4
79
+21.1%
~
10.4%
59 /100
227
PBR PBR
Petróleo Brasileiro S.A. - Petrobras $90.8B 22.1% -9.7%
4/4
~
78
~
-9.7%
22.1%
66 /100
228
TBB TBB
AT&T Inc. 5.35% GLB NTS 66 $125.6B 17.4% +1.3% ~
3/4
94
+1.3%
17.4%
61 /100
229
T-PC T-PC
AT&T Inc. $125.6B 17.4% +1.3% ~
3/4
94
+1.3%
17.4%
63 /100
230
BBVA BBVA
Banco Bilbao Vizcaya Argentaria, S.A. $36.9B 28.5% +17.1% ~
4/4
~
75
+17.1%
28.5%
72 /100
231
IBKR IBKR
Interactive Brokers Group, Inc. $10.2B 9.6% +51.4% ~
4/4
~
75
+51.4%
~
9.6%
66 /100
232
SMFNF SMFNF
Sumitomo Mitsui Financial Group, Inc. $9.7T 12.2% +66.1% ~
4/4
72
+66.1%
~
12.2%
67 /100
233
SYK SYK
Stryker Corporation $25.1B 12.9% +10.8%
4/4
86
+10.8%
~
12.9%
74 /100
234
ZIJMF ZIJMF
Zijin Mining Group Company Limited $340.1B 14.8% +8%
4/4
~
73
+8%
~
14.8%
77 /100
235
BBVXF BBVXF
Banco Bilbao Vizcaya Argentaria, S.A. $25.1B 41.9% +4.6% ~
4/4
~
90
+4.6%
41.9%
75 /100
236
NEM NEM
Newmont Corporation $22.1B 32.1% +25.1% ~
2/4
83
~
+25.1%
32.1%
78 /100
237
BAC-PO BAC-PO
Bank of America Corporation $191.6B 15.9% +20.3%
4/4
79
+20.3%
15.9%
62 /100
238
DBSDY DBSDY
DBS Group Holdings Ltd $36.7B 29.8% +37.1%
4/4
75
+37.1%
29.8%
81 /100
239
TOELY TOELY
Tokyo Electron Limited $2.4T 22.4% +8.6%
4/4
83
+8.6%
22.4%
88 /100
240
PLD PLD
Prologis, Inc. $8.8B 38.8% +14.6% ~
4/4
71
+14.6%
38.8%
62 /100
241
BYDDF BYDDF
BYD Company Limited $773.5B 4.1% +23.5%
4/4
~ ~
62
+23.5%
4.1%
72 /100
242
HONIV HONIV
Honeywell International Inc. Common Stock Ex Distribution When Issued $38.5B 14.8% +3.8%
4/4
72
~
+3.8%
~
14.8%
62 /100
243
BYDDY BYDDY
BYD Company Limited $772.4B 4.1% +23.5%
4/4
~ ~
62
+23.5%
4.1%
80 /100
244
CB CB
Chubb Limited $59.6B 17.3% +11.5% ~
4/4
72
+11.5%
17.3%
79 /100
245
SPGI SPGI
S&P Global Inc. $15.3B 29.2% +11.1% ~
4/4
~
90
+11.1%
29.2%
79 /100
246
AIQUY AIQUY
L'Air Liquide S.A. $25.9B 13.1% -4.7% ~
4/4
~ ~
61
~
-4.7%
~
13.1%
65 /100
247
ATEYY ATEYY
Advantest Corporation $779.7B 20.7% +27.2% ~
4/4
90
+27.2%
20.7%
88 /100
248
AIQUF AIQUF
L'Air Liquide S.A. $26.9B 13.1% -3.4% ~
4/4
~ ~
61
~
-3.4%
~
13.1%
59 /100
249
UL UL
Unilever PLC $50.5B 18.7% -5.2% ~ ~
4/4
87
~
-5.2%
18.7%
61 /100
250
IVSBF IVSBF
Investor AB (publ) $221.9B 71% +11.2% ~
3/4
94
+11.2%
71%
83 /100

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

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