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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
551
UPBMF UPBMF
United Plantations Berhad $2.5B 32.8% +1.1%
4/4
~
59
+1.1%
32.8%
85 /100
552
VESTF VESTF
Corporación Inmobiliaria Vesta, S.A.B. de C.V. $309M 83.4% +20.2%
4/4
~
61
+20.2%
83.4%
85 /100
553
MSA.TO MSA.TO
Mineros S.A. $859M 18.1% +21.5%
4/4
~
56
+21.5%
18.1%
85 /100
554
VAL-WT VAL-WT
Valaris Limited Warrants $2.4B 41.5% +14.7%
4/4
~
53
+14.7%
41.5%
85 /100
555
0P0001K2PG.TO 0P0001K2PG.TO
Canada Life North American Specialty Fund $298M 41.4% +16.1%
4/4
~
54
+16.1%
41.4%
85 /100
556
KL KL
Kirkland Lake Gold Ltd. $2.5B 32% +50.5% ~
4/4
~
62
+50.5%
32%
84 /100
557
APP APP
AppLovin Corporation $5.5B 60.8% +25.5% ~
3/4
~
86
+25.5%
60.8%
84 /100
558
EGO EGO
Eldorado Gold Corporation $1.9B 27.9% +28.9% ~
3/4
~
67
+28.9%
27.9%
84 /100
559
KCG KCG
KCG Holdings, Inc. Class A $1.5B 17.6% +13.8%
4/4
~
58
+13.8%
17.6%
84 /100
560
MCI MCI
Barings Corporate Investors $33M 85.7% +44.2%
4/4
35
+44.2%
85.7%
84 /100
561
ANAT ANAT
American National Group, Inc. $4.4B 15.9% +10.4%
4/4
~
58
+10.4%
15.9%
84 /100
562
BDSI BDSI
BioDelivery Sciences International, Inc. $167M 50.9% +49.1% ~
2/4
~
64
+49.1%
50.9%
84 /100
563
CLSK CLSK
CleanSpark, Inc. $766M 47.6% +85.1%
1/4
~
63
+85.1%
47.6%
84 /100
564
DAVE DAVE
Dave Inc. $512M 38.3% +36% ~
2/4
~
61
+36%
38.3%
84 /100
565
DUOL DUOL
Duolingo, Inc. $1.0B 39.9% +41.1% ~ ~
3/4
70
+41.1%
39.9%
84 /100
566
GTPS GTPS
Great American Bancorp, Inc. $14M 24.4% +15.6%
4/4
~
46
+15.6%
24.4%
84 /100
567
TGTX TGTX
TG Therapeutics, Inc. $616M 72.6% +2806% ~
3/4
~
55
+2806%
72.6%
84 /100
568
VRTX VRTX
Vertex Pharmaceuticals Incorporated $12.1B 32.7% +10.6% ~ ~
3/4
81
+10.6%
32.7%
84 /100
569
WHZT WHZT
Whiting USA Trust II $1M 23.2% +14.1%
4/4
~
46
+14.1%
23.2%
84 /100
570
AMANF AMANF
Amano Corporation $175.4B 10.2% +14%
4/4
71
+14%
~
10.2%
84 /100
571
ASCCF ASCCF
ASICS Corporation $811.6B 12.2% +18.8%
4/4
88
+18.8%
~
12.2%
84 /100
572
AVGTF AVGTF
AVI Global Trust plc $141M 84.9% +3.4% ~
3/4
70
+3.4%
84.9%
84 /100
573
AZIHY AZIHY
Azimut Holding S.p.A. $1.2B 34.6% +9.4%
4/4
~
51
+9.4%
34.6%
84 /100
574
CCOZY CCOZY
China Coal Energy Company Limited $144.0B 9.8% +154.2%
4/4
88
+154.2%
~
9.8%
84 /100
575
FDUSZ FDUSZ
Fidus Investment Corporation $159M 51.7% +19.8%
4/4
43
+19.8%
51.7%
84 /100
576
FLATX FLATX
Fidelity Latin America Fund $94.2B 26.4% +8.9%
4/4
~
66
+8.9%
26.4%
84 /100
577
FRIIF FRIIF
MGI Digital Technology S.A. $68M 16.3% +20.4%
4/4
~
50
+20.4%
16.3%
84 /100
578
HEHSF HEHSF
Hellenic Exchanges - Athens Stock Exchange S.A. $86M 36.6% +33.4%
4/4
~
50
+33.4%
36.6%
84 /100
579
HTSUF HTSUF
Hisamitsu Pharmaceutical Co., Inc. $156.0B 13.9% +9.1%
4/4
78
+9.1%
~
13.9%
84 /100
580
KMTUY KMTUY
Komatsu Ltd. $4.1T 10.7% +13.9%
4/4
74
+13.9%
~
10.7%
84 /100
581
KRKKF KRKKF
KRUK Spólka Akcyjna $2.5B 43.4% +18.9%
4/4
~
74
+18.9%
43.4%
84 /100
582
LZFOX LZFOX
Lazard Equity Franchise Portfolio Open Shares $403M 17.2% +14.4%
4/4
~
58
+14.4%
17.2%
84 /100
583
NNCHY NNCHY
Nissan Chemical Corporation $251.4B 17.1% +6.6%
4/4
~
66
~
+6.6%
17.1%
84 /100
584
NWWCF NWWCF
New China Life Insurance Company Ltd. $130.8B 27% +21%
4/4
~
84
+21%
27%
84 /100
585
OTPBF OTPBF
OTP Bank Nyrt. $4.6T 24.9% +25.7%
4/4
~
84
+25.7%
24.9%
84 /100
586
PBHDF PBHDF
Paramount Bed Holdings Co., Ltd. $108.6B 8.4% +4709.5%
4/4
71
+4709.5%
~
8.4%
84 /100
587
PIEJF PIEJF
Rothschild & Co SCA $2.8B 21.9% +15.5%
4/4
44
+15.5%
21.9%
84 /100
588
RYKKF RYKKF
Ryohin Keikaku Co., Ltd. $784.6B 6.5% +16.5%
4/4
82
+16.5%
~
6.5%
84 /100
589
SAABF SAABF
Saab AB (publ) $79.1B 8% +23.5%
4/4
~
63
+23.5%
~
8%
84 /100
590
SBCWW SBCWW
SBC Medical Group Holdings Incorporated $174M 29.4% +0.6%
4/4
~
58
+0.6%
29.4%
84 /100
591
SDVKY SDVKY
Sandvik AB (publ) $113.4B 12.2% +0.7%
4/4
77
~
+0.7%
~
12.2%
84 /100
592
SFFFF SFFFF
Peugeot Invest S.A. $362M 71.6% -0.6%
4/4
70
~
-0.6%
71.6%
84 /100
593
SNCAF SNCAF
AtkinsRéalis Group Inc. $11.0B 24% +13.2%
4/4
~ ~
49
+13.2%
24%
84 /100
594
SRXXF SRXXF
SPARX Group Co., Ltd. $18.0B 29.2% +9.2%
4/4
~
62
+9.2%
29.2%
84 /100
595
TKOMF TKOMF
Tokio Marine Holdings, Inc. $7.6T 13.9% +10.3%
4/4
73
+10.3%
~
13.9%
84 /100
596
TYIDF TYIDF
Toyota Industries Corporation $4.1T 6.4% +15%
4/4
~
63
+15%
~
6.4%
84 /100
597
YONXF YONXF
YONEX Co., Ltd. $138.3B 7.7% +23.7%
4/4
71
+23.7%
~
7.7%
84 /100
598
ZGXNF ZGXNF
ZIGExN Co., Ltd. $25.5B 15.2% +5477%
4/4
~
66
+5477%
15.2%
84 /100
599
AEM.TO AEM.TO
Agnico Eagle Mines Limited $12.1B 37.5% +28.9% ~ ~
4/4
90
+28.9%
37.5%
84 /100
600
LUG.TO LUG.TO
Lundin Gold Inc. $1.8B 44.4% +31.6% ~
4/4
80
+31.6%
44.4%
84 /100

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

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