Screener

This page is a wide table. It works on a phone - the table scrolls sideways - but a laptop or a desktop shows many more columns at once.

Add columns 9 of 30

Click a figure to put it on the table; click a lit one to take it off again. Every column carries its own filters under its heading, and the arrows there move it left or right.

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.

Saved screens 0

Save the screener settings in the browser.

    Width
    Rows
    Reset all

    5,357 companies - showing 751-775

    × 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
    MP MP Materials Corp. / DE Basic materials $9.71B -4.0% -4.3%
    OGE OGE ENERGY CORP. Utilities $9.68B 20.2x 11.1x 3.5% 5.9% 6.5% 9.5% 3.95
    LTH Life Time Group Holdings, Inc. Communication services $9.66B 26.0x 14.1x 124.3% 7.9% 12.0% 1.68
    IONS IONIS PHARMACEUTICALS INC Healthcare $9.65B -13.4% -78.0%
    ESTC Elastic N.V. Technology $9.64B 26.8x -1.4% 28.8%
    EAT BRINKER INTERNATIONAL, INC Consumer discretionary $9.62B 21.2x 11.5x 0.0% 30.6% 109.8%
    MTCH Match Group, Inc. Technology $9.61B 17.6x 13.4x 1.9% 17.8% 19.3% 3.13
    AMG AFFILIATED MANAGERS GROUP, INC. Financials $9.57B 16.3x 0.0% 50.3% 27.9%
    WLK WESTLAKE CORP Healthcare $9.56B 2.8% -352.2% -8.7% -17.2%
    SAIA SAIA INC Industrials $9.55B 37.6x 16.1x -29.5% 9.7% 9.9% 0.24
    R RYDER SYSTEM INC Industrials $9.53B 20.8x 1.5% 8.0% 16.3%
    JXN Jackson Financial Inc. Financials $9.52B 2.3% -102.0% -0.2%
    RGEN REPLIGEN CORP Healthcare $9.46B 194.9x 97.3x 1.6% 2.3% -2.38
    MSGS Madison Square Garden Sports Corp. Communication services $9.45B 1,222.4x 297.8x 0.0% 2.93
    VOYA Voya Financial, Inc. Financials $9.43B 16.5x 9.8x 1.9% 1.9% 12.9% 14.8% 0.73
    PTGX Protagonist Therapeutics, Inc Healthcare $9.43B -148.5% -21.2%
    WYNN WYNN RESORTS LTD Consumer discretionary $9.43B 29.2x 11.0x 1.9% -27.8% 8.7% 5.38
    MUSA Murphy USA Inc. Consumer discretionary $9.40B 21.2x 9.5x 0.4% -0.0% 75.5%
    AGCO AGCO CORP /DE Industrials $9.34B 13.7x 12.8x 0.9% 7.7% 17.0% 1.85
    VMI VALMONT INDUSTRIES INC Industrials $9.29B 28.7x 19.6x 0.6% -2.3% 16.0% 21.5% 1.21
    RMBS RAMBUS INC Technology $9.24B 40.5x 34.0x 27.9% 16.9%
    CTRE CareTrust REIT, Inc. Real estate $9.22B 24.8x 2.8% 96.2% 7.9%
    TTEK TETRA TECH INC Industrials $9.19B 38.6x 21.0x 0.7% -24.4% 10.5% 13.9% 1.28
    ARE ALEXANDRIA REAL ESTATE EQUITIES, INC. Real estate $9.17B 9.9% -568.9% -9.2%
    ALV AUTOLIV INC Consumer discretionary $9.17B 13.1x 7.2x 2.6% 18.8% 17.2% 28.6% 1.04