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| Stock | Sector | Market capCurrent, $bn | PriceCurrent | RevenueTTM, $bn | Revenue2026E, $bn | Revenue2027E, $bn | Revenue2028E, $bn | Rev Growth2026E | Rev Growth2027E | Rev Growth2028E | Gross MarginTTM | Gross Margin2026E | Gross Margin2027E | Gross Margin2028E | EBITDA-%TTM | EBITDA-%2026E | EBITDA-%2027E | EBITDA-%2028E | EBIT-%TTM | EBIT-%2026E | EBIT-%2027E | EBIT-%2028E | Net MarginTTM | EPSTTM | EPSFwd | EPS2026E | EPS2027E | EPS2028E | EPS Growth2026E | EPS Growth2027E | EPS Growth2028E | FCFTTM, $bn | FCF MarginTTM | ROETTM | ROICTTM | QualityScore | Gross ProfitTTM, $bn | EBITDATTM, $bn | EBITTTM, $bn | D/E RatioMRQ | Debt/EBITDATTM | CashCurrent, $bn | Total DebtCurrent, $bn | Net DebtCurrent, $bn | EVCurrent, $bn | Div Yield% | Instit. Own% | Insider Own% | AI VerdictResearch | EarningsDays | EarningsBeats | Analysts2026E | P/ETTM | P/E2026E | P/E2027E | P/E2028E | P/BCurrent | P/STTM | P/S2026E | P/S2027E | P/S2028E | PEG2026E | PEG2027E | PEG2028E | EV/Sales2026E | EV/Sales2027E | EV/Sales2028E | EV/EBIT2026E | EV/EBIT2027E | EV/EBIT2028E | EV/EBITDATTM | EV/FCFTTM | FCF YieldTTM | E. YieldTTM | DCF Value$ | DCF gapCurrent | Analyst TPLow | Analyst TPConsensus | Analyst TPHigh | UpsideLow | UpsideConsensus | UpsideHigh | Analysts# | RSI14D | Williams %R14D | ADX14D | vs SMA50D | vs SMA200D | vs EMA20D | Downsideto 52W low | 52-Wk rangePrice | Upsideto 52W high | Return5D | Return1M | Return3M | Return6M | Return1Y | Beta5Y | VolatilityAnn. | Short %Float | Short RatioDTC | Float# | Shares Out# | PiotroskiF-Score | Altman ZScore | Composite RatingGrade | Owner EPS$/sh | Free Float% | Int. CoverageTTM | ROCETTM | Payout RatioTTM | Rev GrowthYoY | EPS GrowthYoY | FCF GrowthYoY | Op CF GrowthYoY |
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Snapshot
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Price · 3 Month · Indexed
Growth vs Valuation
Y
X
Gross vs Operating Margin
Rev Growth '26E
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EPS Growth '26E
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Gross Margin
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Op Margin
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Growth
Profitability
Valuation Range
DCF
Comps
Analyst
DCF Tester
10Y Growth
10.0%
Terminal Growth
3.0%
Sector Comparison
RSI
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vs SMA50
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vs SMA200
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1Y Return
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Price Chart
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Moving Averages
Returns & Momentum
Is the risk being compensated?
Risk vs Return Technical
Beta measures price volatility relative to S&P 500. Stocks above the diagonal deliver more return per unit of risk. Below it, you're taking risk without being paid for it.
Are you overpaying for growth?
Value vs Growth Fundamental
Compares forward P/E against expected EPS growth within the same sector. Bottom-right is the sweet spot: high growth at a reasonable multiple. Top-left means expensive with slow growth.
Does quality justify the price?
Quality vs Valuation Combination
Quality score combines margins, returns on capital, and balance sheet strength. The green zone highlights high-quality businesses trading at low multiples — where fundamentals and price align in your favor.
Performance
Price Target Range
Upside Potential
Revenue Estimates
EPS Estimates
Analyst Consensus