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Company What the company is, where it trades, and how current our figures for it are.

Size & market How big it is and what the share price has done. Everything here needs a price.

Valuation What the market charges for a dollar of earnings, sales, book value or cash flow.

Profitability What share of revenue it keeps, and what it earns on the capital it uses.

Growth Change against the year before, and three-year compound rates.

Financial health Borrowings measured against the earnings, equity and assets that have to cover them.

Per share The same figures divided by the share count.

Income statement Amounts as reported on the income statement, latest full year.

Cash flow Amounts as reported on the cash flow statement, latest full year.

Balance sheet Amounts as reported on the balance sheet, at the latest year end.

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    5,357 companies - showing 451-475

    × Our own rollup of SEC's SIC code, not GICS. See About the data.
    Sector
    × Amounts take a suffix: 2B, 500M, 1.5T, 250K.
    Market cap
    × In percent: type 15 for 15%.
    Dividend yield
    × In percent: type 15 for 15%.
    EPS growth
    × In percent: type 15 for 15%.
    ROIC
    × In percent: type 15 for 15%.
    ROE
    THC TENET HEALTHCARE CORP Healthcare $21.34B 17.1x 4.9x -52.6% 56.1%
    DOW DOW INC. Healthcare $21.22B 7.0% -335.7% -15.3%
    ENTG ENTEGRIS INC Industrials $21.20B 89.5x 37.1x 0.3% -19.7% 5.5% 6.0% 5.05
    PKG PACKAGING CORP OF AMERICA Basic materials $21.14B 27.7x 13.9x 0.5% -3.9% 9.7% 16.8% 1.91
    RL RALPH LAUREN CORP Consumer discretionary $21.11B 23.2x 14.4x 1.0% 30.1% 23.1% 33.1% -0.58
    SNX TD SYNNEX CORP Industrials $21.00B 26.4x 10.7x 0.7% 25.2% 11.7% 9.8% -0.77
    CW CURTISS WRIGHT CORP Industrials $20.93B 44.0x 31.3x 0.2% 22.0% 14.2% 19.1% 0.85
    UTHR UNITED THERAPEUTICS Corp Healthcare $20.91B 17.5x 13.3x 13.1% 18.8%
    AMCR Amcor plc Consumer discretionary $20.87B 19.0x 5.9x 5.7% 48.8% 13.7% 9.4% -0.29
    RIVN Rivian Automotive, Inc. / DE Consumer discretionary $20.86B -31.3% -78.9%
    EFX EQUIFAX INC Technology $20.80B 33.3x 14.1x 1.1% 9.9% 8.4% 14.3% 2.70
    MTSI MACOM Technology Solutions Holdings, Inc. Technology $20.54B 105.0x -170.2% 5.6% -4.1% -1.48
    LYB LyondellBasell Industries N.V. Healthcare $20.52B 15.7x 8.6% -156.4% -3.2% -7.3% -5.41
    RS RELIANCE, INC. Industrials $20.45B 28.6x 16.8x -10.2% 9.0% 10.3% 0.93
    WWD Woodward, Inc. Industrials $20.44B 48.2x 19.6% 17.2%
    GIS GENERAL MILLS INC Consumer staples $20.44B 23.2x 6.4% -103.9% 3.4% -1.2% 9.03
    CF CF Industries Holdings, Inc. Healthcare $20.18B 14.9x 6.7x 1.6% 33.1% 22.9% 37.2% 0.39
    FTAI FTAI Aviation Ltd. Technology $20.16B 42.7x 0.6% 149.9%
    FICO FAIR ISAAC CORP Industrials $20.13B 35.1x 24.5x 29.8% 57.4% 3.11
    LEN LENNAR CORP /NEW/ Industrials $20.12B 2.6% 9.5%
    SBAC SBA COMMUNICATIONS CORP Real estate $20.10B 19.3x 20.0x 2.4% 41.2% 14.2% 7.72
    NI NISOURCE INC. Utilities $19.85B 21.2x 6.6x 2.7% 20.4% 15.9% 9.8% -0.03
    SNA Snap-on Inc Industrials $19.81B 20.0x 13.6x 2.3% -1.6% 14.6% 17.1% -0.31
    IP INTERNATIONAL PAPER CO /NEW/ Basic materials $19.72B 5.0% -542.7% -23.7%
    BR BROADRIDGE FINANCIAL SOLUTIONS, INC. Industrials $19.71B 18.0x 15.7x 2.2% 35.2% 16.6% 39.6% 1.98