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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
301
ANTM ANTM
Elevance Health Inc. $199.1B 2.8% +8.4%
4/4
94
~
+8.4%
2.8%
72 /100
302
SNYNF SNYNF
Sanofi $43.6B 17.9% -1.3%
4/4
86
-1.3%
17.9%
68 /100
303
MDT MDT
Medtronic plc $33.5B 13.9% +1.2% ~ ~
4/4
86
~
+1.2%
~
13.9%
69 /100
304
VRTX VRTX
Vertex Pharmaceuticals Incorporated $12.1B 32.7% +10.6% ~ ~
3/4
81
+10.6%
32.7%
84 /100
305
AIG-PA AIG-PA
American International Group, Inc. $26.8B 11.6% -19.3% ~
3/4
~ ~
61
~
-19.3%
~
11.6%
62 /100
306
SBUX SBUX
Starbucks Corporation $37.2B 5% +5% ~
4/4
~
65
~
+5%
~
5%
50 /100
307
EP-PC EP-PC
El Paso Energy Capital Trust I PFD CV TR SECS $16.9B 0.6% -3.2%
4/4
~
40
~
-3.2%
0.6%
52 /100
308
MITSF MITSF
Mitsui & Co., Ltd. $14.7T 6.1% +8.3%
4/4
~ ~
55
~
+8.3%
~
6.1%
66 /100
309
MZHOF MZHOF
Mizuho Financial Group, Inc. $8.6T 10.3% +63.5%
4/4
72
+63.5%
~
10.3%
62 /100
310
ENBGF ENBGF
Enbridge Inc $47.4B 11.5% -2.3%
4/4
72
~
-2.3%
~
11.5%
68 /100
311
SNPMF SNPMF
China Petroleum & Chemical Corporation $2.4T 1.3% -9.3%
4/4
44
-9.3%
1.3%
47 /100
312
MITSY MITSY
Mitsui & Co., Ltd. $14.7T 6.1% +8.3%
4/4
~ ~
55
~
+8.3%
~
6.1%
66 /100
313
HCA HCA
HCA Healthcare, Inc. $75.6B 9% +7.9%
4/4
72
+7.9%
~
9%
61 /100
314
ESLOY ESLOY
EssilorLuxottica S.A. $27.4B 8.1% +3.8%
4/4
~
81
~
+3.8%
~
8.1%
53 /100
315
PROSY PROSY
Prosus N.V. $6.2B 200.4% +6%
4/4
~
79
~
+6%
200.4%
86 /100
316
ESLOF ESLOF
EssilorLuxottica S.A. $28.5B 8.1% +5.2%
4/4
~
81
~
+5.2%
~
8.1%
55 /100
317
ADTTF ADTTF
Advantest Corporation $779.7B 20.7% +27.2%
4/4
90
+27.2%
20.7%
93 /100
318
KBCSY KBCSY
KBC Group N.V. $23.4B 15.2% +47.2%
4/4
75
+47.2%
15.2%
64 /100
319
AEM AEM
Agnico Eagle Mines Limited $11.9B 37.5% +28.1% ~
4/4
90
+28.1%
37.5%
86 /100
320
PANW PANW
Palo Alto Networks, Inc. $9.2B 12.3% +18.9% ~
3/4
~
86
+18.9%
~
12.3%
70 /100
321
MO MO
Altria Group, Inc. $20.1B 34.5% -0.9% ~
4/4
~
90
~
-0.9%
34.5%
67 /100
322
AEM.TO AEM.TO
Agnico Eagle Mines Limited $12.1B 37.5% +28.9% ~ ~
4/4
90
+28.9%
37.5%
84 /100
323
MECNY MECNY
Menicon Co Ltd $121.5B 4.6% +6.7%
4/4
90
~
+6.7%
4.6%
68 /100
324
SO SO
The Southern Company $29.6B 14.7% +0.9%
4/4
~
54
~
+0.9%
~
14.7%
48 /100
325
MFG MFG
Mizuho Financial Group, Inc. $8.8T 10.1% +65.3% ~
4/4
72
+65.3%
~
10.1%
61 /100
326
PROSF PROSF
Prosus N.V. $6.2B 200.4% -2.8%
4/4
~
79
-2.8%
200.4%
77 /100
327
BNH BNH
Brookfield Finance Inc. 4.625% $76.1B 1.7% -6%
4/4
80
-6%
1.7%
42 /100
328
ENB-PT.TO ENB-PT.TO
Enbridge Inc $65.1B 11.5% +8.9%
4/4
76
+8.9%
~
11.5%
67 /100
329
CME CME
CME Group Inc. $6.5B 62% +9.1% ~
4/4
82
+9.1%
62%
75 /100
330
MCK MCK
McKesson Corporation $359.1B 0.9% +10.9% ~
4/4
~ ~
55
+10.9%
0.9%
65 /100
331
ZURVY ZURVY
Zurich Insurance Group AG $88.2B 7.7% +32.6% ~
4/4
90
+32.6%
~
7.7%
76 /100
332
SPOT SPOT
Spotify Technology S.A. $17.2B 12.9% +13.6% ~
2/4
76
+13.6%
~
12.9%
73 /100
333
BNJ BNJ
Brookfield Finance Inc. 4.50% P $76.1B 1.7% -6%
4/4
80
-6%
1.7%
42 /100
334
SBKFF SBKFF
State Bank of India $6.6T 11.7% +48.2%
4/4
79
+48.2%
~
11.7%
67 /100
335
BMO BMO
Bank of Montreal $78.1B 11.1% +32.5% ~
4/4
72
+32.5%
~
11.1%
54 /100
336
ZFSVF ZFSVF
Zurich Insurance Group AG $91.9B 7.7% +32.7%
4/4
90
+32.7%
~
7.7%
74 /100
337
CFRHF CFRHF
Compagnie Financière Richemont S.A. $21.4B 12.9% +3.7%
4/4
90
+3.7%
~
12.9%
67 /100
338
HAITY HAITY
Haitong Securities Co., Ltd. $22.4B 4.5% -13.4%
4/4
90
-13.4%
4.5%
60 /100
339
TT TT
Trane Technologies plc $21.3B 13.7% +10.1% ~
4/4
~
76
+10.1%
~
13.7%
65 /100
340
EQIX EQIX
Equinix, Inc. $9.3B 14.6% +8.5% ~
4/4
86
+8.5%
~
14.6%
62 /100
341
BMO.TO BMO.TO
Bank of Montreal $78.1B 11.1% +60.2%
4/4
72
+60.2%
~
11.1%
59 /100
342
ENB-PA.TO ENB-PA.TO
Enbridge Inc $65.1B 11.5% +8.9%
4/4
76
+8.9%
~
11.5%
67 /100
343
XIACF XIACF
Xiaomi Corporation $445.5B 9.1% +17.8%
4/4
~
73
+17.8%
~
9.1%
71 /100
344
HWM HWM
Howmet Aerospace Inc. $8.3B 18.3% +13.4%
4/4
72
+13.4%
18.3%
74 /100
345
XIACY XIACY
Xiaomi Corporation $444.8B 9.1% +17.8% ~
4/4
~
73
+17.8%
~
9.1%
71 /100
346
ITUB ITUB
Itaú Unibanco Holding S.A. $384.6B 11.7% +15.1% ~
4/4
~
65
+15.1%
~
11.7%
54 /100
347
CMCSA CMCSA
Comcast Corporation $123.7B 16% +0.6% ~
4/4
79
+0.6%
16%
71 /100
348
INTU INTU
Intuit Inc. $18.8B 20.5% +14%
4/4
86
+14%
20.5%
84 /100
349
CMCSV CMCSV
Comcast Corporation Class A Common Stock Ex-Distribution When Issued $123.7B 13.1% +2.1%
4/4
94
+2.1%
~
13.1%
74 /100
350
BN BN
Brookfield Corporation $76.1B 1.7% -6%
4/4
80
-6%
1.7%
52 /100

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

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