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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
101
GOOG GOOG
Alphabet Inc. $403.0B 32.8% +12.6% ~
4/4
100
+12.6%
32.8%
89 /100
102
ISNS ISNS
Autoscope Technologies Corporation $14M 33% +1.1%
4/4
~
50
+1.1%
33%
89 /100
103
AZIHF AZIHF
Azimut Holding S.p.A. $1.4B 36.8% +7.5%
4/4
74
+7.5%
36.8%
89 /100
104
BZLYF BZLYF
Beazley plc $6.9B 13.6% +26.8%
4/4
76
+26.8%
~
13.6%
89 /100
105
CMZOF CMZOF
Corporación Moctezuma, S.A.B. de C.V. $20.4B 30.7% +8.1%
4/4
78
+8.1%
30.7%
89 /100
106
FXFLF FXFLF
Fairfax Financial Holdings Limited $31.8B 13.8% +17.9%
4/4
80
+17.9%
~
13.8%
89 /100
107
GOOGL GOOGL
Alphabet Inc. $403.0B 32.8% +12.6% ~
4/4
100
+12.6%
32.8%
89 /100
108
HOEGF HOEGF
Höegh Autoliners ASA $1.5B 36% +5.2%
4/4
~
60
+5.2%
36%
89 /100
109
JTSSX JTSSX
JPMorgan SmartRetirement 2050 Fund Class I $146.0B 32.7% +13.5%
4/4
78
+13.5%
32.7%
89 /100
110
JUMSF JUMSF
Jumbo S.A. $1.1B 27.8% +18.4%
4/4
74
+18.4%
27.8%
89 /100
111
KKKUF KKKUF
Kakaku.com, Inc. $78.4B 25.5% +14.9%
4/4
82
+14.9%
25.5%
89 /100
112
OLCLF OLCLF
Oriental Land Co., Ltd. $679.4B 18.3% +37.7%
4/4
81
+37.7%
18.3%
89 /100
113
OLCLY OLCLY
Oriental Land Co., Ltd. $679.4B 18.3% +37.7%
4/4
81
+37.7%
18.3%
89 /100
114
SMTAX SMTAX
JPMorgan SmartRetirement 2040 Fund Class A $146.0B 32.7% +13.5%
4/4
78
+13.5%
32.7%
89 /100
115
TGOPF TGOPF
3i Group plc $5.3B 95.6% +10.1%
4/4
76
+10.1%
95.6%
89 /100
116
TSYHF TSYHF
TravelSky Technology Limited $8.4B 27% +18.7%
4/4
74
+18.7%
27%
89 /100
117
TSYHY TSYHY
TravelSky Technology Limited $8.4B 27% +18.6%
4/4
74
+18.6%
27%
89 /100
118
ZNKKY ZNKKY
ZENKOKU HOSHO Co.,Ltd. $57.0B 56.3% +5.3%
4/4
82
+5.3%
56.3%
89 /100
119
AGI AGI
Alamos Gold Inc. $1.8B 49.1% +30.3% ~
4/4
80
+30.3%
49.1%
88 /100
120
NRT NRT
North European Oil Royalty Trust $9M 91.8% +14.5%
4/4
~
50
+14.5%
91.8%
88 /100
121
DOCS DOCS
Doximity, Inc. $570M 39.1% +18.5%
4/4
~
66
+18.5%
39.1%
88 /100
122
JFIN JFIN
Jiayin Group Inc. $5.8B 18.2% +52.3%
4/4
~
47
+52.3%
18.2%
88 /100
123
OPRA OPRA
Opera Limited $617M 17.6% +23.1%
4/4
~
48
+23.1%
17.6%
88 /100
124
SMLR SMLR
Semler Scientific, Inc. $56M 72.7% +3.2%
4/4
~
50
+3.2%
72.7%
88 /100
125
ATEYY ATEYY
Advantest Corporation $779.7B 20.7% +27.2% ~
4/4
90
+27.2%
20.7%
88 /100
126
BABAF BABAF
Alibaba Group Holding Limited $996.3B 13.1% +5.3%
4/4
87
+5.3%
~
13.1%
88 /100
127
IAFNF IAFNF
iA Financial Corporation Inc. $11.3B 9.7% +21.6%
4/4
80
+21.6%
~
9.7%
88 /100
128
MEIUF MEIUF
Meitu, Inc. $3.8B 15.1% +21.9%
4/4
74
+21.9%
15.1%
88 /100
129
MGAWY MGAWY
Megaworld Corporation $85.6B 25.1% +15.8%
4/4
79
+15.8%
25.1%
88 /100
130
PSKRF PSKRF
Protector Forsikring ASA $14.9B 17.8% +34%
4/4
74
+34%
17.8%
88 /100
131
TGOPY TGOPY
3i Group plc $5.3B 95.6% +191.5% ~
4/4
80
+191.5%
95.6%
88 /100
132
TOELY TOELY
Tokyo Electron Limited $2.4T 22.4% +8.6%
4/4
83
+8.6%
22.4%
88 /100
133
USSJF USSJF
USS Co., Ltd. $104.0B 36.2% +8.5%
4/4
78
+8.5%
36.2%
88 /100
134
USSJY USSJY
USS Co., Ltd. $104.0B 36.2% +8.5%
4/4
78
+8.5%
36.2%
88 /100
135
KNT.TO KNT.TO
K92 Mining Inc. $606M 45.4% +51.4%
4/4
70
+51.4%
45.4%
88 /100
136
BAM BAM
Brookfield Asset Management Ltd. $4.9B 51.6% +284.4% ~
4/4
80
+284.4%
51.6%
87 /100
137
SBC SBC
SBC Medical Group Holdings Incorporated $174M 29.4% +0.6%
4/4
~
58
+0.6%
29.4%
87 /100
138
YMM YMM
Full Truck Alliance Co. Ltd. $12.1B 35.3% +22.2% ~
4/4
78
+22.2%
35.3%
87 /100
139
BABA BABA
Alibaba Group Holding Limited $996.3B 13.1% +5.3%
4/4
87
+5.3%
~
13.1%
87 /100
140
ESEA ESEA
Euroseas Ltd. $228M 60.1% +7.7%
4/4
~
54
+7.7%
60.1%
87 /100
141
IDCC IDCC
InterDigital, Inc. $834M 48.8% +24.7%
4/4
~
61
+24.7%
48.8%
87 /100
142
BUGDF BUGDF
Bumrungrad Hospital Public Company Limited $25.1B 29.9% +7.2%
4/4
78
+7.2%
29.9%
87 /100
143
BUHPF BUHPF
Bumrungrad Hospital Public Company Limited $25.1B 29.9% +7.2%
4/4
78
+7.2%
29.9%
87 /100
144
CHKEL CHKEL
Chesapeake Energy Corporation $12.1B 15% +36.4% ~
3/4
78
+36.4%
15%
87 /100
145
IPXHF IPXHF
Inpex Corporation $2.0T 19.6% +24.4%
4/4
84
+24.4%
19.6%
87 /100
146
JUMSY JUMSY
Jumbo S.A. $1.1B 27.8% +11.5%
4/4
70
+11.5%
27.8%
87 /100
147
LKNCY LKNCY
Luckin Coffee Inc. $47.9B 7.3% +54.9%
4/4
84
+54.9%
~
7.3%
87 /100
148
LSRCY LSRCY
Lasertec Corporation $251.5B 33.7% +42.2%
4/4
88
+42.2%
33.7%
87 /100
149
NCKAF NCKAF
Nickel Asia Corporation $28.4B 22% +3.6%
4/4
78
+3.6%
22%
87 /100
150
NONOF NONOF
Novo Nordisk A/S $308.4B 33.1% +20.8%
4/4
~
85
+20.8%
33.1%
87 /100

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

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