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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
1301
RVRF RVRF
River Financial Corporation $208M 20.2% +39.2%
4/4
~
43
+39.2%
20.2%
79 /100
1302
SCYT SCYT
Security Bancorp, Inc. $24M 22.6% +30.7%
4/4
~
35
+30.7%
22.6%
79 /100
1303
SKWD SKWD
Skyward Specialty Insurance Group, Inc. $1.4B 12% +30.7%
4/4
~ ~
52
+30.7%
~
12%
79 /100
1304
SLBK SLBK
Skyline Bankshares, Inc. $74M 21.5% +22.6%
4/4
~
35
+22.6%
21.5%
79 /100
1305
SPBV SPBV
Sports Pouch Beverage Co., Inc. 12.4% +89.4%
2/2
~
46
+89.4%
~
12.4%
79 /100
1306
SYTE SYTE
Enterprise Diversified, Inc. $6M 60.2% +13.3% ~
2/4
~
50
+13.3%
60.2%
79 /100
1307
TRKX TRKX
Trek Resources, Inc. $9M 23.5% +28.3% ~
2/3
~
50
+28.3%
23.5%
79 /100
1308
VLLX VLLX
Valley Republic Bancorp $36M 34.5% +18.4%
4/4
~ ~
46
+18.4%
34.5%
79 /100
1309
AIFLF AIFLF
Aiful Corporation $189.1B 11.9% +12.7%
4/4
~
78
+12.7%
~
11.9%
79 /100
1310
AMIVF AMIVF
Atrium Mortgage Investment Corporation $85M 57.6% +20.5%
4/4
~ ~
50
+20.5%
57.6%
79 /100
1311
AYAAY AYAAY
Ayala Land, Inc. $175.0B 22.3% +12.9%
4/4
~ ~
47
+12.9%
22.3%
79 /100
1312
AZRGF AZRGF
Azrieli Group Ltd $4.0B 47.3% +19%
4/4
~ ~
65
+19%
47.3%
79 /100
1313
BDSIW BDSIW
BioDelivery Sciences Intl, Inc. Wrrt $167M 50.9% +48.5% ~
2/4
~
58
+48.5%
50.9%
79 /100
1314
BHBFX BHBFX
Madison Dividend Income Fd Cl Y $56M 547.5% +5.2% ~
3/4
~
46
+5.2%
547.5%
79 /100
1315
BJBIX BJBIX
Aberdeen International Sustainable Leaders Fund Class A $137M 107.9% +17.7%
4/4
~ ~
54
+17.7%
107.9%
79 /100
1316
BLMIF BLMIF
Bank Leumi Le-Israel B.M. $44.6B 22.9% +43%
4/4
~ ~
62
+43%
22.9%
79 /100
1317
BOLSY BOLSY
B3 S.A. - Brasil, Bolsa, Balcão $10.1B 44.7% +3.5%
4/4
~
75
~
+3.5%
44.7%
79 /100
1318
BSVSX BSVSX
Baird Equity Opportunity Fund - Investor Class $206M 57.9% +12.4% ~
2/4
~ ~
54
+12.4%
57.9%
79 /100
1319
BVERS BVERS
Beaver Coal Company, Limited $9M 65.8% +0.6%
4/4
41
~
+0.6%
65.8%
79 /100
1320
CBKLP CBKLP
CoBank, ACB $2.2B 63.4% +5.4%
4/4
~ ~
58
+5.4%
63.4%
79 /100
1321
CBKPP CBKPP
CoBank, ACB $2.2B 63.4% +5.4%
4/4
~ ~
58
+5.4%
63.4%
79 /100
1322
CHHQY CHHQY
China Hongqiao Group Limited $157.9B 13.9% +6.5%
4/4
~
67
+6.5%
~
13.9%
79 /100
1323
CLOEF CLOEF
Cloetta AB (publ) $8.5B 9.3% +7.8%
4/4
~
60
+7.8%
~
9.3%
79 /100
1324
CNPPF CNPPF
China Overseas Property Holdings Limited $16.4B 9.1% +228.4%
4/4
~
46
+228.4%
~
9.1%
79 /100
1325
COLDF COLDF
Cardno Limited $8M 99.8% +15.3% ~
2/4
~
50
+15.3%
99.8%
79 /100
1326
CPNNF CPNNF
Central Pattana Public Company Limited $54.5B 34.5% +15.6%
4/4
~
66
+15.6%
34.5%
79 /100
1327
DTSOF DTSOF
DTS Corporation $125.9B 8.4% +10.1%
4/4
~
61
+10.1%
~
8.4%
79 /100
1328
ESGFF ESGFF
Ora Banda Mining Limited $404M 46% +44.8% ~
2/4
~
56
+44.8%
46%
79 /100
1329
FATRX FATRX
Frost Total Return Bond Fund Investor Class Shares $12M 297.6% +8.7% ~
2/4
~
58
+8.7%
297.6%
79 /100
1330
FCVFF FCVFF
F.C.C. Co., Ltd. $256.6B 6.2% +338%
4/4
44
+338%
~
6.2%
79 /100
1331
FJTCY FJTCY
Fujitec Co., Ltd. $241.3B 6% +8.9%
4/4
~
57
+8.9%
~
6%
79 /100
1332
FTAIO FTAIO
FTAI Aviation Ltd. $2.5B 20% +52.7% ~
3/4
~ ~
45
+52.7%
20%
79 /100
1333
FTAIP FTAIP
FTAI Aviation Ltd. $2.5B 20% +52.7% ~
3/4
~ ~
45
+52.7%
20%
79 /100
1334
FXFHF FXFHF
Fairfax Financial Holdings Limited $28.4B 13.6% +4.2%
4/4
~
62
~
+4.2%
~
13.6%
79 /100
1335
GABBX GABBX
Gabelli Dividend Growth AAA $56M 547.5% +5.2% ~
3/4
~
46
+5.2%
547.5%
79 /100
1336
GCMGW GCMGW
GCM Grosvenor Inc. $550M 8.2% +7.4%
4/4
~ ~
58
+7.4%
~
8.2%
79 /100
1337
GELYF GELYF
Geely Automobile Holdings Limited $336.3B 4.9% +31.7%
4/4
~ ~
56
+31.7%
4.9%
79 /100
1338
GREZF GREZF
GREE, Inc. $57.1B 2.1% +3872.8%
4/4
~
61
+3872.8%
2.1%
79 /100
1339
IARGF IARGF
IAR Systems Group AB (publ) $487M 27.8% +306.2% ~
2/4
~
51
+306.2%
27.8%
79 /100
1340
KIKOY KIKOY
Kikkoman Corporation $709.0B 8.7% +11.3%
4/4
~
64
+11.3%
~
8.7%
79 /100
1341
KKRAF KKRAF
Katakura Industries Co.,Ltd. $40.7B 14.2% +6.2%
4/4
~
49
+6.2%
~
14.2%
79 /100
1342
KROEF KROEF
KR1 Plc $13M 60.2% -19.5%
4/4
41
~
-19.5%
60.2%
79 /100
1343
KSHTY KSHTY
Kuaishou Technology $138.9B 13% +13.9% ~
3/4
88
+13.9%
~
13%
79 /100
1344
MITEF MITEF
Mitsubishi Estate Co., Ltd. $1.6T 12% +5.4%
4/4
~ ~
63
+5.4%
~
12%
79 /100
1345
MTCPY MTCPY
MTR Corporation Limited $55.4B 25.3% +5.6%
4/4
~ ~
67
+5.6%
25.3%
79 /100
1346
MTRJF MTRJF
MTR Corporation Limited $55.5B 25.3% +5.6%
4/4
~ ~
67
+5.6%
25.3%
79 /100
1347
MTSFY MTSFY
Mitsui Fudosan Co., Ltd. $2.6T 9.5% +7.7%
4/4
~ ~
67
+7.7%
~
9.5%
79 /100
1348
NCTKF NCTKF
Nabtesco Corporation $308.2B 5.1% +0.1%
4/4
~
68
+0.1%
~
5.1%
79 /100
1349
NCTKY NCTKY
Nabtesco Corporation $322.8B 5.1% +1.6%
4/4
~
68
+1.6%
~
5.1%
79 /100
1350
NHKGF NHKGF
NHK Spring Co., Ltd. $801.7B 6% +11.1%
4/4
~
50
+11.1%
~
6%
79 /100

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

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