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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
1051
GMYTF GMYTF
GMO Payment Gateway, Inc. $82.5B 26.8% +18.1%
4/4
~
78
+18.1%
26.8%
80 /100
1052
GTBIF GTBIF
Green Thumb Industries Inc. $1.2B 9.9% +4.9%
4/4
~
63
+4.9%
~
9.9%
80 /100
1053
GUOSF GUOSF
Guotai Junan Securities Co., Ltd. $91.2B 29.7% +45.1%
4/4
79
+45.1%
29.7%
80 /100
1054
HKTGF HKTGF
Hikari Tsushin, Inc. $686.6B 17.1% +6.3%
4/4
~
84
+6.3%
17.1%
80 /100
1055
HLBBF HLBBF
H. Lundbeck A/S $24.3B 13.1% +10%
4/4
74
+10%
~
13.1%
80 /100
1056
HLUBF HLUBF
H. Lundbeck A/S $24.3B 13.1% +10%
4/4
74
+10%
~
13.1%
80 /100
1057
HMNTY HMNTY
Hemnet Group AB (publ) $1.5B 34.1% +20.4%
4/4
~
70
+20.4%
34.1%
80 /100
1058
HRSEF HRSEF
Hirose Electric Co.,Ltd. $189.4B 17.4% +5.6%
4/4
71
~
+5.6%
17.4%
80 /100
1059
IGGHY IGGHY
IG Group Holdings plc $949M 40.1% -1.4%
4/4
~
55
-1.4%
40.1%
80 /100
1060
IITSF IITSF
Intesa Sanpaolo S.p.A. $27.1B 36.4% +8.4%
4/4
~
75
+8.4%
36.4%
80 /100
1061
IPOAF IPOAF
Industrias Peñoles, S.A.B. de C.V. $9.2B 16% +19.1%
4/4
~
66
+19.1%
16%
80 /100
1062
JFROF JFROF
J. Front Retailing Co., Ltd. $441.9B 9.4% +10.1%
4/4
~
75
+10.1%
~
9.4%
80 /100
1063
KAOCF KAOCF
Kao Corporation $1.7T 7.1% +3%
4/4
74
+3%
~
7.1%
80 /100
1064
KUASF KUASF
Kuaishou Technology $139.1B 13% +14% ~
3/4
88
+14%
~
13%
80 /100
1065
MIELY MIELY
Mitsubishi Electric Corporation $5.5T 5.9% +7.3%
4/4
74
+7.3%
~
5.9%
80 /100
1066
MNRHF MNRHF
Menora Mivtachim Holdings Ltd $14.8B 7.3% +25.5%
4/4
74
+25.5%
~
7.3%
80 /100
1067
MWTCF MWTCF
Manila Water Company, Inc. $39.8B 39.6% +22.9%
4/4
78
+22.9%
39.6%
80 /100
1068
MWTCY MWTCY
Manila Water Company, Inc. $39.8B 39.6% +22.9%
4/4
78
+22.9%
39.6%
80 /100
1069
NCMGF NCMGF
Newcrest Mining Limited $4.5B 17.3% +5.3%
4/4
~
64
+5.3%
17.3%
80 /100
1070
NCMGY NCMGY
Newcrest Mining Limited $4.5B 17.3% +5.3%
4/4
~
64
+5.3%
17.3%
80 /100
1071
NMMRF NMMRF
Nomura Real Estate Master Fund, Inc. $94.1B 34.1% +9.2%
4/4
~
53
+9.2%
34.1%
80 /100
1072
PPCCY PPCCY
PICC Property and Casualty Company Limited $522.1B 7.5% +4.9%
4/4
84
+4.9%
~
7.5%
80 /100
1073
RSKIA RSKIA
George Risk Industries, Inc. $23M 31.6% +2.9%
4/4
39
+2.9%
31.6%
80 /100
1074
SESMF SESMF
SÜSS MicroTec SE $446M 24.7% +20.8% ~
4/4
~
63
+20.8%
24.7%
80 /100
1075
SMPNY SMPNY
Sompo Holdings, Inc. $5.3T 4.6% +8.3%
4/4
84
+8.3%
4.6%
80 /100
1076
SYANY SYANY
Sydbank A/S $9.2B 19.7% +26%
4/4
~ ~
59
+26%
19.7%
80 /100
1077
TTLTF TTLTF
Total Telcom Inc. $2M 15.5% +12.9%
4/4
~
50
+12.9%
15.5%
80 /100
1078
UNICY UNICY
Unicharm Corporation $991.1B 6.9% +3.4%
4/4
70
~
+3.4%
~
6.9%
80 /100
1079
WSOUF WSOUF
Washington H. Soul Pattinson and Company Limited $1.4B 25.8% +22.9% ~
3/4
74
+22.9%
25.8%
80 /100
1080
YMZBY YMZBY
Yamazaki Baking Co., Ltd. $1.4T 3.1% +8.5%
4/4
~
64
+8.5%
3.1%
80 /100
1081
YNAJF YNAJF
Yantai North Andre Juice Co.,Ltd. $1.6B 19.7% +19.7%
4/4
~
47
+19.7%
19.7%
80 /100
1082
YOKEF YOKEF
Yokogawa Electric Corporation $562.4B 9.3% +7.5%
4/4
75
+7.5%
~
9.3%
80 /100
1083
ASM.TO ASM.TO
Avino Silver & Gold Mines Ltd. $87M 31.3% +27%
4/4
~
55
+27%
31.3%
80 /100
1084
DRX.TO DRX.TO
ADF Group Inc. $340M 16.7% +8%
4/4
44
+8%
16.7%
80 /100
1085
FFH.TO FFH.TO
Fairfax Financial Holdings Limited $30.4B 15.7% +16.3%
4/4
~ ~
63
+16.3%
15.7%
80 /100
1086
PHO.TO PHO.TO
Photon Control Inc. $65M 21.8% +24.7%
4/4
~
50
+24.7%
21.8%
80 /100
1087
TSU.TO TSU.TO
Trisura Group Ltd. $868M 16.4% +19.2%
4/4
~
49
+19.2%
16.4%
80 /100
1088
TWC.TO TWC.TO
TWC Enterprises Limited $228M 24.4% +6.7%
4/4
29
+6.7%
24.4%
80 /100
1089
MU MU
Micron Technology, Inc. $37.4B 22.8% +20.3% ~ ~
3/4
~
67
+20.3%
22.8%
80 /100
1090
CAF CAF
Morgan Stanley China A Share Fund, Inc. $13M 524.7% +0% ~
2/4
~
46
+0%
524.7%
80 /100
1091
DSL DSL
DoubleLine Income Solutions Fund $142M 76.7% +52.3% ~
3/4
~
70
+52.3%
76.7%
80 /100
1092
HCM HCM
HUTCHMED (China) Limited $550M 83.3% +19.7% ~
3/4
~ ~
56
+19.7%
83.3%
80 /100
1093
MIN MIN
MFS Intermediate Income Trust $11M 172.8% +39.5% ~
3/4
35
+39.5%
172.8%
80 /100
1094
RCS RCS
PIMCO Strategic Income Fund, Inc. $37M 85.6% +91.9% ~
3/4
~
35
+91.9%
85.6%
80 /100
1095
SWZ SWZ
Total Return Securities, Inc. $46M 38.9% +646% ~
2/4
~
46
+646%
38.9%
80 /100
1096
AABB AABB
Asia Broadband, Inc. $8M 52.6% +94.4% ~
3/4
21
+94.4%
52.6%
80 /100
1097
ABCW ABCW
Anchor BanCorp Wisconsin Inc. $69M 200.3% +10708.7% ~
2/4
~
46
+10708.7%
200.3%
80 /100
1098
AMTD AMTD
AMTD IDEA Group $54M 94.4% +101.4%
4/4
~
28
+101.4%
94.4%
80 /100
1099
ANTA ANTA
Antalpha Platform Holding Company $80M 23.2% +194.4% ~
2/3
~
43
+194.4%
23.2%
80 /100
1100
BGIN BGIN
BGIN BLOCKCHAIN Ltd $302M 21.8% +532.2% ~
3/4
36
+532.2%
21.8%
80 /100

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

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