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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
201
STXB STXB
Spirit of Texas Bancshares, Inc. $128M 32.8% +32.8%
4/4
~
54
+32.8%
32.8%
87 /100
202
UTGN UTGN
UTG, Inc. $42M 40.3% +31.8%
4/4
35
+31.8%
40.3%
87 /100
203
BWAGF BWAGF
BAWAG Group AG $2.2B 38.7% +17.8%
4/4
~ ~
65
+17.8%
38.7%
87 /100
204
CLVLF CLVLF
Clinuvel Pharmaceuticals Limited $95M 38.1% +13.2%
4/4
~
46
+13.2%
38.1%
87 /100
205
CLVLY CLVLY
Clinuvel Pharmaceuticals Limited $95M 38.1% +13.2%
4/4
~
50
+13.2%
38.1%
87 /100
206
CUYRF CUYRF
C.Uyemura & Co.,Ltd. $83.8B 16.8% +4115.8%
4/4
~
68
+4115.8%
16.8%
87 /100
207
FXSRF FXSRF
Fixstars Corporation $9.6B 20.2% +15.1%
4/4
~
62
+15.1%
20.2%
87 /100
208
GAINI GAINI
Gladstone Investment Corporation $118M 72.6% +20.8%
4/4
~
64
+20.8%
72.6%
87 /100
209
INDBN INDBN
Independent Capital Trust III, 8.625% Cumul Trust Preferred Securities $393M 42% +20.2%
4/4
~
54
+20.2%
42%
87 /100
210
KAIKY KAIKY
Kawasaki Kisen Kaisha, Ltd. $1.0T 29.1% +11.8%
4/4
~
60
+11.8%
29.1%
87 /100
211
LUKOY LUKOY
PJSC Lukoil $7.9T 14.6% +61.5%
4/4
81
+61.5%
~
14.6%
87 /100
212
NEOJF NEOJF
NEOJAPAN Inc. $8.2B 22% +11.1%
4/4
~
62
+11.1%
22%
87 /100
213
NMYSF NMYSF
NamSys Inc. $8M 31.5% +13.5%
4/4
~
50
+13.5%
31.5%
87 /100
214
PSDMF PSDMF
Gaming Realms plc $28M 31.1% +24.8%
4/4
~
50
+24.8%
31.1%
87 /100
215
PTXLF PTXLF
PTT Exploration and Production Public Company Limited $281.4B 21.4% +1136.3%
4/4
~
84
+1136.3%
21.4%
87 /100
216
SPHXF SPHXF
SM Prime Holdings, Inc. $140.6B 34.6% +10.3%
4/4
~
88
+10.3%
34.6%
87 /100
217
VDMCY VDMCY
Vodacom Group Limited $152.2B 10.9% +687.4%
4/4
~
88
+687.4%
~
10.9%
87 /100
218
VGPBF VGPBF
VGP N.V. $175M 166% +26.6% ~
3/4
~
70
+26.6%
166%
87 /100
219
GGN-PB GGN-PB
GAMCO Global Gold, Natural Resources & Income Trust $107M 295.2% +47.7%
4/4
~
70
+47.7%
295.2%
87 /100
220
GRP-UN GRP-UN
Granite Real Estate Investment Trust $569M 63.4% +13.1%
4/4
~ ~
66
+13.1%
63.4%
87 /100
221
EIT-UN.TO EIT-UN.TO
Canoe EIT Income Fund $379M 96.8% +38.8%
4/4
~
70
+38.8%
96.8%
87 /100
222
ASA ASA
ASA Gold and Precious Metals Limited $148M 448.2% +2445.8% ~
3/4
~
61
+2445.8%
448.2%
87 /100
223
BUI BUI
BlackRock Utilities, Infrastructure & Power Opportunities Trust $112M 92.8% +102.2% ~
3/4
~
64
+102.2%
92.8%
87 /100
224
CII CII
BlackRock Enhanced Capital and Income Fund, Inc. $126M 164.9% +514.4% ~
3/4
~
64
+514.4%
164.9%
87 /100
225
TFG TFG
Tetragon Financial Group Limited $521M 67.6% +105.4% ~
3/4
~
60
+105.4%
67.6%
87 /100
226
PHYS PHYS
Sprott Physical Gold Trust $147M 4059.2% +23.4% ~
3/4
~
61
+23.4%
4059.2%
87 /100
227
QQQX QQQX
Nuveen Nasdaq 100 Dynamic Overwrite Fund $88M 208.5% +212.1% ~
3/4
~
62
+212.1%
208.5%
87 /100
228
CVTGF CVTGF
Clairvest Group Inc. $171M 71.5% +149.9% ~
3/4
~
64
+149.9%
71.5%
87 /100
229
ECVTF ECVTF
Economic Investment Trust Limited $115M 221.5% +25.7% ~
3/4
~
60
+25.7%
221.5%
87 /100
230
GFKSY GFKSY
Gulf Keystone Petroleum Limited $460M 57.8% +61% ~
3/4
~
64
+61%
57.8%
87 /100
231
TGONF TGONF
Tetragon Financial Group Limited $779M 93.7% +82.6% ~
3/4
~
61
+82.6%
93.7%
87 /100
232
CVG.TO CVG.TO
Clairvest Group Inc. $171M 71.5% +65.4% ~
3/4
~
60
+65.4%
71.5%
87 /100
233
PHYS.TO PHYS.TO
Sprott Physical Gold Trust $147M 4059.2% +23.4% ~
3/4
~
61
+23.4%
4059.2%
87 /100
234
MNSO MNSO
MINISO Group Holding Limited $17.0B 15.4% +20.6%
4/4
71
+20.6%
15.4%
86 /100
235
SEIC SEIC
SEI Investments Company $2.3B 31.1% +5.1%
4/4
74
+5.1%
31.1%
86 /100
236
TCEHY TCEHY
Tencent Holdings Limited $731.3B 29.9% +9.7%
4/4
70
+9.7%
29.9%
86 /100
237
TW TW
Tradeweb Markets Inc. $2.1B 39.6% +20.2% ~
4/4
80
+20.2%
39.6%
86 /100
238
AEM AEM
Agnico Eagle Mines Limited $11.9B 37.5% +28.1% ~
4/4
90
+28.1%
37.5%
86 /100
239
DRD DRD
DRDGOLD Limited $7.9B 28.5% +15.7%
4/4
~
60
+15.7%
28.5%
86 /100
240
ANET ANET
Arista Networks, Inc. $9.0B 39% +27.3%
4/4
86
+27.3%
39%
86 /100
241
ASIC ASIC
Ategrity Specialty Holdings LLC $424M 17.4% +32.9%
3/3
~
64
+32.9%
17.4%
86 /100
242
ATAT ATAT
Atour Lifestyle Holdings Limited $9.5B 16.6% +64.3%
4/4
~
67
+64.3%
16.6%
86 /100
243
BANX BANX
ArrowMark Financial Corp. $17M 103% +56.2%
4/4
~
50
+56.2%
103%
86 /100
244
CCEC CCEC
Capital Clean Energy Carriers Corp. $369M 52% +28.3%
4/4
70
+28.3%
52%
86 /100
245
INVA INVA
Innoviva, Inc. $425M 63.8% +9.3%
4/4
~
55
+9.3%
63.8%
86 /100
246
TRAK TRAK
ReposiTrak, Inc. $23M 30.9% +7.8%
4/4
~
50
+7.8%
30.9%
86 /100
247
VINP VINP
Vinci Compass Investments Ltd. $958M 22.3% +24.8%
4/4
~
64
+24.8%
22.3%
86 /100
248
AAGIY AAGIY
AIA Group Limited $32.5B 19.2% +24.9%
4/4
86
+24.9%
19.2%
86 /100
249
AAIGF AAIGF
AIA Group Limited $32.6B 19.2% +24.9%
4/4
86
+24.9%
19.2%
86 /100
250
CPHRF CPHRF
Cipher Pharmaceuticals Inc. $51M 54.2% +38%
4/4
35
+38%
54.2%
86 /100

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

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