Cornerstone Growth Stock Screen. This page compares published weekly company figures for valuation, financial strength, price performance, income and risk, with links to the supporting company records and data.
Structured data for this page is available at https://sharemaestro.com/factors/api/strategies/cornerstone-growth/
Factor approach · week ending 9 Aug 2026
Cornerstone Growth
Price to sales below 1.5, five-year earnings consistency, then ordered by price performance.
Qualifying companies 217 Top 50 shown
Companies scored 5062 5062 in market
Average combined score 77.9/100 Qualifying list
Market US USD
Summary
Companies
Comparison
Historical record
How it works
Current qualifying list
Cornerstone Growth companies Ranks run from 0 to 100. A higher rank is stronger on value, financial strength or price performance.
#1 ASX ASE Industrial Holding Co Ltd ADR Technology
RevG 16.6%
Price rank 98.0/100
Operating earnings / enterprise value 25.5%
Combined score 99.0/100
Return on equity 15.7%
Strength rank 86.0/100
Volatility 50.5%
F-Score 6/9
#2 BTSG BrightSpring Health Services, Inc. Common Stock Healthcare
RevG 19.9%
Price rank 97.0/100
Operating earnings / enterprise value 3.4%
Combined score 48.0/100
Return on equity 14.4%
Strength rank 69.0/100
Volatility 36.7%
F-Score 7/9
#3 UMC United Microelectronics Technology
RevG 5.6%
Price rank 97.0/100
Operating earnings / enterprise value 198.3%
Combined score 99.0/100
Return on equity 18.8%
Strength rank 82.0/100
Volatility 53.1%
F-Score 5/9
#4 FRD Friedman Industries Inc. Common Stock Basic Materials
RevG 61.8%
Price rank 95.0/100
Operating earnings / enterprise value 13.9%
Combined score 84.0/100
Return on equity 16.6%
Strength rank 22.0/100
Volatility 64.9%
F-Score 4/9
#5 GTX Garrett Motion Inc Consumer Cyclical
RevG 8.5%
Price rank 93.0/100
Operating earnings / enterprise value 5.9%
Combined score 89.0/100
Return on equity -52.9%
Strength rank 69.0/100
Volatility 51.9%
F-Score 7/9
#6 KALU Kaiser Aluminum Corporation Basic Materials
RevG 32.8%
Price rank 94.0/100
Operating earnings / enterprise value 8.7%
Combined score 83.0/100
Return on equity 24.1%
Strength rank 28.0/100
Volatility 49.6%
F-Score 6/9
#7 WHLRP Wheeler Real Estate Investment Trust Inc Pref Real Estate
RevG -3.5%
Price rank 40.0/100
Operating earnings / enterprise value 7.2%
Combined score 29.0/100
Return on equity 9.3%
Strength rank 38.0/100
Volatility 55.8%
F-Score 7/9
#8 BHE Benchmark Electronics Inc Technology
RevG 8.9%
Price rank 96.0/100
Operating earnings / enterprise value 3.3%
Combined score 25.0/100
Return on equity 4.8%
Strength rank 21.0/100
Volatility 39.9%
F-Score 6/9
#9 UGP Ultrapar Participacoes SA ADR Energy
RevG 6.9%
Price rank 95.0/100
Operating earnings / enterprise value 62.3%
Combined score 98.0/100
Return on equity 90.6%
Strength rank 76.0/100
Volatility 36.0%
F-Score 6/9
#10 TEN Tsakos Energy Navigation Limited Energy
RevG 6.9%
Price rank 95.0/100
Operating earnings / enterprise value 7.2%
Combined score 91.0/100
Return on equity 10.9%
Strength rank 26.0/100
Volatility 35.8%
F-Score 4/9
#11 UVE Universal Insurance Holdings Inc Financial Services
RevG 3.6%
Price rank 94.0/100
Operating earnings / enterprise value 37.0%
Combined score 99.0/100
Return on equity 34.5%
Strength rank 93.0/100
Volatility 34.1%
F-Score 8/9
#12 AVT Avnet Inc Technology
RevG 111.6%
Price rank 85.0/100
Operating earnings / enterprise value 10.8%
Combined score 83.0/100
Return on equity 3.5%
Strength rank 5.0/100
Volatility 35.2%
F-Score 3/9
#13 RCKY Rocky Brands Inc Consumer Cyclical
RevG 9.2%
Price rank 83.0/100
Operating earnings / enterprise value 11.0%
Combined score 92.0/100
Return on equity 10.9%
Strength rank 63.0/100
Volatility 54.5%
F-Score 7/9
#14 BFH Bread Financial Holdings, Inc. Financial Services
RevG 0.7%
Price rank 93.0/100
Operating earnings / enterprise value 17.2%
Combined score 99.0/100
Return on equity 16.9%
Strength rank 90.0/100
Volatility 39.0%
F-Score 7/9
#15 GCT GigaCloud Technology Inc Class A Ordinary Shares Technology
RevG 22.9%
Price rank 76.0/100
Operating earnings / enterprise value 8.9%
Combined score 78.0/100
Return on equity 29.2%
Strength rank 29.0/100
Volatility 66.0%
F-Score 4/9
#16 MYRG MYR Group Inc Industrials
RevG 16.1%
Price rank 86.0/100
Operating earnings / enterprise value 4.4%
Combined score 56.0/100
Return on equity 21.9%
Strength rank 86.0/100
Volatility 46.7%
F-Score 8/9
#17 WCC WESCO International Inc Industrials
RevG 12.5%
Price rank 93.0/100
Operating earnings / enterprise value 5.7%
Combined score 20.0/100
Return on equity 13.6%
Strength rank 14.0/100
Volatility 36.3%
F-Score 4/9
#18 MRX Marex Group plc Ordinary Shares Financial Services
RevG 31.2%
Price rank 84.0/100
Operating earnings / enterprise value 45.4%
Combined score 97.0/100
Return on equity 36.6%
Strength rank 81.0/100
Volatility 45.0%
F-Score 5/9
#19 ATLC Atlanticus Holdings Corporation Financial Services
RevG 248.6%
Price rank 83.0/100
Operating earnings / enterprise value 2.3%
Combined score 92.0/100
Return on equity 21.6%
Strength rank 92.0/100
Volatility 54.7%
F-Score 3/9
#20 ANDE The Andersons Inc Consumer Defensive
RevG -5.2%
Price rank 84.0/100
Operating earnings / enterprise value 6.7%
Combined score 86.0/100
Return on equity 13.4%
Strength rank 25.0/100
Volatility 38.1%
F-Score 6/9
#21 ASRV AmeriServ Financial Inc Financial Services
RevG 4.9%
Price rank 78.0/100
Operating earnings / enterprise value 10.7%
Combined score 92.0/100
Return on equity 6.9%
Strength rank 64.0/100
Volatility 31.9%
F-Score 6/9
#22 SNX Synnex Corporation Technology
RevG 16.3%
Price rank 93.0/100
Operating earnings / enterprise value 7.6%
Combined score 45.0/100
Return on equity 12.7%
Strength rank 24.0/100
Volatility 33.6%
F-Score 7/9
#23 MFG Mizuho Financial Group Inc. Financial Services
RevG 6.5%
Price rank 93.0/100
Operating earnings / enterprise value 12.1%
Combined score 97.0/100
Return on equity 12.2%
Strength rank 68.0/100
Volatility 34.5%
F-Score 7/9
#24 APEI American Public Education Inc Consumer Defensive
RevG 3.8%
Price rank 84.0/100
Operating earnings / enterprise value 7.6%
Combined score 94.0/100
Return on equity 13.2%
Strength rank 92.0/100
Volatility 47.5%
F-Score 6/9
#25 AXIA AXIA Energia Utilities
RevG 1.5%
Price rank 92.0/100
Operating earnings / enterprise value 7.5%
Combined score 98.0/100
Return on equity 9.8%
Strength rank 75.0/100
Volatility 34.5%
F-Score 6/9
#26 KMT Kennametal Inc Industrials
RevG 19.8%
Price rank 92.0/100
Operating earnings / enterprise value 15.0%
Combined score 88.0/100
Return on equity 21.2%
Strength rank 27.0/100
Volatility 40.9%
F-Score 5/9
#27 SANM Sanmina Corporation Technology
RevG 58.6%
Price rank 82.0/100
Operating earnings / enterprise value 4.7%
Combined score 62.0/100
Return on equity 12.0%
Strength rank 72.0/100
Volatility 60.3%
F-Score 6/9
RevG 13.0%
Price rank 90.0/100
Operating earnings / enterprise value 5.7%
Combined score 46.0/100
Return on equity 8.1%
Strength rank 30.0/100
Volatility 40.5%
F-Score 8/9
#29 SNEX Stonex Group Inc Financial Services
RevG 20.6%
Price rank 83.0/100
Operating earnings / enterprise value 45.6%
Combined score 96.0/100
Return on equity 18.5%
Strength rank 66.0/100
Volatility 50.7%
F-Score 4/9
#30 IFS Intercorp Financial Services Inc Financial Services
RevG 19.9%
Price rank 92.0/100
Operating earnings / enterprise value 46.2%
Combined score 99.0/100
Return on equity 16.8%
Strength rank 82.0/100
Volatility 32.8%
F-Score 9/9
#31 BAP Credicorp Ltd Financial Services
RevG 12.6%
Price rank 92.0/100
Operating earnings / enterprise value 54.0%
Combined score 99.0/100
Return on equity 18.6%
Strength rank 95.0/100
Volatility 29.2%
F-Score 8/9
#32 IX Orix Corp Ads Financial Services
RevG 17.6%
Price rank 91.0/100
Operating earnings / enterprise value 15.8%
Combined score 98.0/100
Return on equity 13.2%
Strength rank 83.0/100
Volatility 29.1%
F-Score 8/9
#33 PSMT PriceSmart Inc Consumer Defensive
RevG 10.2%
Price rank 81.0/100
Operating earnings / enterprise value 4.4%
Combined score 26.0/100
Return on equity 11.4%
Strength rank 27.0/100
Volatility 26.9%
F-Score 5/9
#34 OPY Oppenheimer Holdings Inc Financial Services
RevG 20.6%
Price rank 91.0/100
Operating earnings / enterprise value 11.2%
Combined score 88.0/100
Return on equity 10.5%
Strength rank 31.0/100
Volatility 37.5%
F-Score 7/9
#35 CXW CoreCivic Inc Industrials
RevG 24.3%
Price rank 90.0/100
Operating earnings / enterprise value 5.7%
Combined score 77.0/100
Return on equity 8.9%
Strength rank 27.0/100
Volatility 36.8%
F-Score 7/9
#36 THC Tenet Healthcare Corporation Healthcare
RevG 5.4%
Price rank 85.0/100
Operating earnings / enterprise value 11.5%
Combined score 97.0/100
Return on equity 48.1%
Strength rank 90.0/100
Volatility 44.5%
F-Score 7/9
#37 MCY Mercury General Corporation Financial Services
RevG 10.0%
Price rank 90.0/100
Operating earnings / enterprise value 22.3%
Combined score 99.0/100
Return on equity 33.0%
Strength rank 96.0/100
Volatility 24.9%
F-Score 6/9
#38 PBR Petroleo Brasileiro Petrobras SA ADR Energy
RevG 21.6%
Price rank 89.0/100
Operating earnings / enterprise value 14.9%
Combined score 98.0/100
Return on equity 23.9%
Strength rank 89.0/100
Volatility 34.7%
F-Score 7/9
#39 PANL Pangaea Logistic Industrials
RevG 22.6%
Price rank 77.0/100
Operating earnings / enterprise value 7.2%
Combined score 83.0/100
Return on equity 7.9%
Strength rank 16.0/100
Volatility 48.8%
F-Score 5/9
#40 MFC Manulife Financial Corp Financial Services
RevG -16.0%
Price rank 88.0/100
Operating earnings / enterprise value 14.5%
Combined score 98.0/100
Return on equity 12.6%
Strength rank 80.0/100
Volatility 17.6%
F-Score 6/9
#41 HRTG Heritage Insurance Hldgs Inc Financial Services
RevG -7.1%
Price rank 86.0/100
Operating earnings / enterprise value 59.2%
Combined score 99.0/100
Return on equity 37.9%
Strength rank 97.0/100
Volatility 56.0%
F-Score 7/9
#42 JBL Jabil Circuit Inc Technology
RevG 17.8%
Price rank 88.0/100
Operating earnings / enterprise value 3.7%
Combined score 46.0/100
Return on equity 65.2%
Strength rank 70.0/100
Volatility 37.1%
F-Score 5/9
#43 PBR-A Petróleo Brasileiro S.A. - Petrobras Energy
RevG 5.1%
Price rank 88.0/100
Operating earnings / enterprise value 15.4%
Combined score 98.0/100
Return on equity 23.9%
Strength rank 89.0/100
Volatility 31.8%
F-Score 7/9
#44 SLF Sun Life Financial Inc. Financial Services
RevG 12.4%
Price rank 88.0/100
Operating earnings / enterprise value 10.5%
Combined score 97.0/100
Return on equity 13.5%
Strength rank 85.0/100
Volatility 16.5%
F-Score 7/9
#45 RS Reliance Steel & Aluminum Co Basic Materials
RevG 15.4%
Price rank 87.0/100
Operating earnings / enterprise value 5.3%
Combined score 25.0/100
Return on equity 12.1%
Strength rank 20.0/100
Volatility 22.6%
F-Score 5/9
#46 MTZ MasTec Inc Industrials
RevG 23.5%
Price rank 91.0/100
Operating earnings / enterprise value 3.4%
Combined score 18.0/100
Return on equity 14.5%
Strength rank 32.0/100
Volatility 42.0%
F-Score 8/9
#47 PNTG Pennant Group Inc Healthcare
RevG 37.9%
Price rank 77.0/100
Operating earnings / enterprise value 2.9%
Combined score 10.0/100
Return on equity 9.0%
Strength rank 10.0/100
Volatility 34.3%
F-Score 3/9
#48 LOCO El Pollo Loco Holdings Inc Consumer Cyclical
RevG 4.4%
Price rank 78.0/100
Operating earnings / enterprise value 11.1%
Combined score 92.0/100
Return on equity 11.0%
Strength rank 66.0/100
Volatility 36.5%
F-Score 8/9
#49 ELPC Companhia Paranaense de Energia - COPEL Utilities
RevG 48.5%
Price rank 89.0/100
Operating earnings / enterprise value 19.8%
Combined score 91.0/100
Return on equity 13.2%
Strength rank 28.0/100
Volatility 32.0%
F-Score 6/9
#50 FRST Primis Financial Corp Financial Services
RevG 41.5%
Price rank 75.0/100
Operating earnings / enterprise value 9.7%
Combined score 91.0/100
Return on equity 12.2%
Strength rank 67.0/100
Volatility 27.6%
F-Score 6/9
Full comparison table
Rank Company Sector Combined Value Financial strength Price performance P/E ROE Volatility
1 ASX ASE Industrial Holding Co Ltd ADR Technology 99.0/100 99.0/100 86.0/100 98.0/100 1.3× 15.7% 50.5% 2 BTSG BrightSpring Health Services, Inc. Common Stock Healthcare 48.0/100 12.0/100 69.0/100 97.0/100 42.0× 14.4% 36.7% 3 UMC United Microelectronics Technology 99.0/100 99.0/100 82.0/100 97.0/100 0.6× 18.8% 53.1% 4 FRD Friedman Industries Inc. Common Stock Basic Materials 84.0/100 80.0/100 22.0/100 95.0/100 11.6× 16.6% 64.9% 5 GTX Garrett Motion Inc Consumer Cyclical 89.0/100 69.0/100 69.0/100 93.0/100 15.6× -52.9% 51.9% 6 KALU Kaiser Aluminum Corporation Basic Materials 83.0/100 75.0/100 28.0/100 94.0/100 13.3× 24.1% 49.6% 7 WHLRP Wheeler Real Estate Investment Trust Inc Pref Real Estate 29.0/100 40.0/100 38.0/100 40.0/100 1.5× 9.3% 55.8% 8 BHE Benchmark Electronics Inc Technology 25.0/100 18.0/100 21.0/100 96.0/100 55.7× 4.8% 39.9% 9 UGP Ultrapar Participacoes SA ADR Energy 98.0/100 97.0/100 76.0/100 95.0/100 2.2× 90.6% 36.0% 10 TEN Tsakos Energy Navigation Limited Energy 91.0/100 94.0/100 26.0/100 95.0/100 5.6× 10.9% 35.8% 11 UVE Universal Insurance Holdings Inc Financial Services 99.0/100 96.0/100 93.0/100 94.0/100 5.6× 34.5% 34.1% 12 AVT Avnet Inc Technology 83.0/100 90.0/100 5.0/100 85.0/100 14.6× 3.5% 35.2% 13 RCKY Rocky Brands Inc Consumer Cyclical 92.0/100 83.0/100 63.0/100 83.0/100 12.8× 10.9% 54.5% 14 BFH Bread Financial Holdings, Inc. Financial Services 99.0/100 97.0/100 90.0/100 93.0/100 7.7× 16.9% 39.0% 15 GCT GigaCloud Technology Inc Class A Ordinary Shares Technology 78.0/100 74.0/100 29.0/100 76.0/100 12.2× 29.2% 66.0% 16 MYRG MYR Group Inc Industrials 56.0/100 17.0/100 86.0/100 86.0/100 31.8× 21.9% 46.7% 17 WCC WESCO International Inc Industrials 20.0/100 18.0/100 14.0/100 93.0/100 25.0× 13.6% 36.3% 18 MRX Marex Group plc Ordinary Shares Financial Services 97.0/100 93.0/100 81.0/100 84.0/100 8.9× 36.6% 45.0% 19 ATLC Atlanticus Holdings Corporation Financial Services 92.0/100 69.0/100 92.0/100 83.0/100 10.0× 21.6% 54.7% 20 ANDE The Andersons Inc Consumer Defensive 86.0/100 89.0/100 25.0/100 84.0/100 12.6× 13.4% 38.1% 21 ASRV AmeriServ Financial Inc Financial Services 92.0/100 87.0/100 64.0/100 78.0/100 9.8× 6.9% 31.9% 22 SNX Synnex Corporation Technology 45.0/100 34.0/100 24.0/100 93.0/100 17.8× 12.7% 33.6% 23 MFG Mizuho Financial Group Inc. Financial Services 97.0/100 95.0/100 68.0/100 93.0/100 — 12.2% 34.5% 24 APEI American Public Education Inc Consumer Defensive 94.0/100 73.0/100 92.0/100 84.0/100 23.3× 13.2% 47.5% 25 AXIA AXIA Energia Utilities 98.0/100 97.0/100 75.0/100 92.0/100 1.9× 9.8% 34.5% 26 KMT Kennametal Inc Industrials 88.0/100 87.0/100 27.0/100 92.0/100 7.4× 21.2% 40.9% 27 SANM Sanmina Corporation Technology 62.0/100 33.0/100 72.0/100 82.0/100 35.3× 12.0% 60.3% 28 VVX V2X Inc Industrials 46.0/100 33.0/100 30.0/100 90.0/100 28.8× 8.1% 40.5% 29 SNEX Stonex Group Inc Financial Services 96.0/100 95.0/100 66.0/100 83.0/100 15.1× 18.5% 50.7% 30 IFS Intercorp Financial Services Inc Financial Services 99.0/100 98.0/100 82.0/100 92.0/100 3.2× 16.8% 32.8% 31 BAP Credicorp Ltd Financial Services 99.0/100 97.0/100 95.0/100 92.0/100 4.3× 18.6% 29.2% 32 IX Orix Corp Ads Financial Services 98.0/100 97.0/100 83.0/100 91.0/100 — 13.2% 29.1% 33 PSMT PriceSmart Inc Consumer Defensive 26.0/100 23.0/100 27.0/100 81.0/100 34.5× 11.4% 26.9% 34 OPY Oppenheimer Holdings Inc Financial Services 88.0/100 86.0/100 31.0/100 91.0/100 11.6× 10.5% 37.5% 35 CXW CoreCivic Inc Industrials 77.0/100 67.0/100 27.0/100 90.0/100 25.0× 8.9% 36.8% 36 THC Tenet Healthcare Corporation Healthcare 97.0/100 89.0/100 90.0/100 85.0/100 9.4× 48.1% 44.5% 37 MCY Mercury General Corporation Financial Services 99.0/100 95.0/100 96.0/100 90.0/100 6.5× 33.0% 24.9% 38 PBR Petroleo Brasileiro Petrobras SA ADR Energy 98.0/100 96.0/100 89.0/100 89.0/100 5.7× 23.9% 34.7% 39 PANL Pangaea Logistic Industrials 83.0/100 88.0/100 16.0/100 77.0/100 14.0× 7.9% 48.8% 40 MFC Manulife Financial Corp Financial Services 98.0/100 95.0/100 80.0/100 88.0/100 10.9× 12.6% 17.6% 41 HRTG Heritage Insurance Hldgs Inc Financial Services 99.0/100 96.0/100 97.0/100 86.0/100 4.6× 37.9% 56.0% 42 JBL Jabil Circuit Inc Technology 46.0/100 14.0/100 70.0/100 88.0/100 41.5× 65.2% 37.1% 43 PBR-A Petróleo Brasileiro S.A. - Petrobras Energy 98.0/100 96.0/100 89.0/100 88.0/100 5.4× 23.9% 31.8% 44 SLF Sun Life Financial Inc. Financial Services 97.0/100 90.0/100 85.0/100 88.0/100 12.7× 13.5% 16.5% 45 RS Reliance Steel & Aluminum Co Basic Materials 25.0/100 23.0/100 20.0/100 87.0/100 24.2× 12.1% 22.6% 46 MTZ MasTec Inc Industrials 18.0/100 6.0/100 32.0/100 91.0/100 43.5× 14.5% 42.0% 47 PNTG Pennant Group Inc Healthcare 10.0/100 10.0/100 10.0/100 77.0/100 42.1× 9.0% 34.3% 48 LOCO El Pollo Loco Holdings Inc Consumer Cyclical 92.0/100 84.0/100 66.0/100 78.0/100 13.2× 11.0% 36.5% 49 ELPC Companhia Paranaense de Energia - COPEL Utilities 91.0/100 96.0/100 28.0/100 89.0/100 2.7× 13.2% 32.0% 50 FRST Primis Financial Corp Financial Services 91.0/100 84.0/100 67.0/100 75.0/100 7.6× 12.2% 27.6%
List against market
How the qualifiers differ The comparison uses the same completed week and selected market. It shows the result of the screen rather than a claim about future returns.
Median relative ranks
Qualifying list and full market
Stored weekly prices
Historical record Past results are hypothetical, before trading costs and based on the stated weekly selection rules. They do not show what an investor would necessarily have received.
Historical record is being prepared The current company list is available now. This section will appear after the stored weekly record has been calculated.
Selection rules
What the screen does Open a company page to see its exact inputs and every other approach it currently passes.
Price to sales below 1.5, five-year earnings consistency, then ordered by price performance. The screen starts with consistent earners, requires a price-to-sales ratio below 1.5, then orders the remaining companies by 12-to-1-month price performance.
1 · Market
Start with the selected market The screen uses published weekly company records from the market shown at the top of the page.
2 · Rules
Apply the same tests to every company The named measures, thresholds and sorting order are fixed for the screen.
3 · Check
Open the supporting figures A passing result still needs company, sector, liquidity, accounting and risk research.
Limits of the comparison Scores are relative to the selected market and can change when the market or its data changes. Accounting dates differ. Historical figures may be revised. A screen can remain out of favour for long periods.
Historical results exclude spreads, commissions, market impact, taxes and capacity limits. They are research evidence, not a forecast, recommendation or personal portfolio.