Top fundamental return
Earnings growth + cash returned, 5Y — the business's own return. Adjust any filter below — the screen is yours from there, and the address bar carries it.
Filters
245 of 1124 match · 1 active
Categories
Sort: Fundamental Return (5Y CAGR)
Technical analysis0
Addendum charts0
Overlay lines0
Save as watchlist
Save as watchlist
1–60 of 245
…
Columns5
Save as watchlist
| Price | |||
|---|---|---|---|
| FIS | $39.42 | $20.3B | 117.38% |
| NVDA | $225.77 | $5.4T | 95.67% |
| DB | $41.07 | $78.2B | 78.22% |
| SMCI | $40.26 | $26.4B | 72.69% |
| APG | $40.21 | $17.4B | 68.20% |
| MU | $999.94 | $1.1T | 65.21% |
| EXEL | $57.71 | $14.3B | 63.33% |
| TTMI | $129.34 | $13.6B | 60.71% |
| WDC | $477.24 | $172.1B | 58.02% |
| FIX | $1,649.59 | $58.1B | 57.73% |
| SUI | $117.72 | $14.5B | 57.32% |
| MAR | $328.82 | $85.7B | 57.10% |
| PEN | $319.26 | $12.6B | 56.48% |
| NOW | $134.22 | $138.8B | 56.32% |
| PAA | $25.97 | $18.3B | 54.74% |
| FUTU | $117.55 | $16.5B | 54.16% |
| FTI | $78.17 | $30.7B | 53.88% |
| DIS | $105.09 | $181.4B | 53.16% |
| UDR | $36.11 | $12.6B | 53.01% |
| TRGP | $294.28 | $63.1B | 52.70% |
| IESC | $342.80 | — | 50.59% |
| STRL | $502.47 | $15.4B | 50.36% |
| PFGC | $96.81 | $15.3B | 49.88% |
| RL | $347.24 | $20.7B | 48.95% |
| RNR | $323.10 | $13.4B | 47.69% |
| BBVA | $29.27 | $167.1B | 47.35% |
| CF | $134.39 | $20.3B | 47.15% |
| HWM | $231.49 | $92.3B | 46.94% |
| NTR | $80.69 | $39.3B | 45.11% |
| ITT | $201.52 | $18B | 44.96% |
| CVX | $209.97 | $414.9B | 44.58% |
| HL | $20.45 | $13.7B | 44.44% |
| BSX | $44.99 | $65.2B | 44.02% |
| COP | $135.05 | $162.2B | 43.60% |
| AGI | $36.47 | $15.3B | 42.28% |
| MTSI | $274.80 | $21B | 41.42% |
| PTC | $133.29 | $14.5B | 41.03% |
| EME | $773.28 | $34.1B | 40.44% |
| ANET | $195.01 | $246B | 40.13% |
| EIX | $59.34 | $22.8B | 39.75% |
| AVGO | $368.43 | $1.8T | 39.59% |
| HSBC | $106.26 | $365B | 38.69% |
| GFI | $47.20 | $42.2B | 38.68% |
| SIRI | $28.80 | $9.7B | 37.51% |
| EC | $17.78 | $36.6B | 37.35% |
| SHOP | $134.14 | $174.1B | 37.25% |
| NVMI | $377.62 | $12B | 36.84% |
| LYG | $6.01 | $88.9B | 36.53% |
| DY | $303.20 | $9.1B | 36.36% |
| TW | $102.93 | $21.9B | 35.97% |
| FTNT | $157.48 | $115.5B | 35.61% |
| LLY | $1,123.86 | $1T | 35.57% |
| EOG | $145.38 | $76.3B | 35.29% |
| BN | $39.28 | $93B | 35.15% |
| RCI | $36.88 | $20B | 34.52% |
| TJX | $128.93 | $142.4B | 34.45% |
| EQIX | $1,041.21 | $102.7B | 34.34% |
| AEM | $201.79 | $100.9B | 34.32% |
| BAP | $377.00 | $30B | 34.16% |
| CCEP | $106.53 | $47.8B | 34.11% |
1–60 of 245
…
Ready-made screens
Liquid large caps
Big, heavily-traded names
High momentum
Strong 1M & 3M, near highs
Cheap dividend payers
Yield up, P/E down
Oversold
Down today, off the highs
Low beta / defensive
Calmer names with yield
Top shareholder yield
Shares actually retired + dividends paid, last 12 months
Top fundamental return
Earnings growth + cash returned, 5Y — the business's own return
Decade-cheap P/S
Bottom decile of the stock's OWN 10-year price-to-sales range
Growth + value
Compounding above 20% a year, yet cheap vs its own decade (P/S percentile < 20)
All stocks
Start from the unfiltered screener
