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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 1151-1175

    × 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
    REYN Reynolds Consumer Products Inc. Basic materials $4.61B 15.3x 4.2% -14.4% 13.4%
    FULT FULTON FINANCIAL CORP Financials $4.60B 11.6x 3.1% 32.5% 11.2%
    EPR EPR PROPERTIES Real estate $4.60B 18.3x 12.8x 6.3% 105.0% 7.8% 11.8% 4.90
    NNI NELNET INC Financials $4.59B 10.8x 0.9% 134.9% 11.6%
    NP Neptune Insurance Holdings Inc. Financials $4.58B 64.4x -262.5% -0.11
    PAY Paymentus Holdings, Inc. Industrials $4.55B 69.6x 39.1x 48.6% 11.9%
    CRGY Crescent Energy Co Energy $4.55B 7.2x 2.5% 1.8% 2.6% 3.95
    OLLI Ollie's Bargain Outlet Holdings, Inc. Consumer discretionary $4.55B 19.7x 12.9x 20.4% 12.7%
    DYN Dyne Therapeutics, Inc. Healthcare $4.53B -33.0% -0.0%
    CHH CHOICE HOTELS INTERNATIONAL INC /DE Consumer discretionary $4.53B 12.7x 12.6x 1.2% 27.4% 17.4% 204.1% 3.66
    ALH Alliance Laundry Holdings Inc. Industrials $4.52B 40.6x 11.0x 0.0% 25.1%
    GFF GRIFFON CORP Industrials $4.51B 91.4x 28.3x 0.9% -74.2% 11.0% 69.1% 6.37
    LIVN LivaNova PLC Healthcare $4.51B 18.7x -483.6% 10.0% -20.2% -1.14
    BB BLACKBERRY Ltd Technology $4.51B 85.6x 65.8x 4.6% 7.1% -2.47
    VNT Vontier Corp Technology $4.50B 12.1x 10.0x 0.3% 0.4% 13.4% 32.6% 2.61
    FHI FEDERATED HERMES, INC. Financials $4.49B 12.2x 8.1x 2.3% 58.8% 25.2% 33.7% -0.45
    BCO BRINKS CO Industrials $4.48B 23.2x 7.7x 0.9% 29.2% 8.2% 71.9% 2.56
    CRK COMSTOCK RESOURCES INC Energy $4.48B 10.7x 5.6x 0.0% 9.8% 15.9% 2.16
    SIVR abrdn Silver ETF Trust Financials $4.48B 52.2%
    CVI CVR ENERGY INC Energy $4.47B 164.8x 9.7x 0.0% 350.0% 6.6% 12.3% 2.03
    IBOC INTERNATIONAL BANCSHARES CORP Financials $4.47B 10.9x 1.9% 0.8% 12.7%
    MYRG MYR GROUP INC. Industrials $4.46B 38.1x 18.7x 311.5% 17.0% 17.9% -0.39
    SITE SiteOne Landscape Supply, Inc. Industrials $4.46B 29.8x 19.5x 24.4% 9.0% 9.1% 0.82
    HP Helmerich & Payne, Inc. Energy $4.43B 10.0x 2.3% -148.4% 0.1% -5.8% 2.94
    CCC CCC Intelligent Solutions Holdings Inc. Technology $4.42B 36.6x -100.0% 2.4% 0.1% 7.64