Quality Compounders 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/quality-compounders/
Factor approach ยท week ending 18 Sep 2026
Quality Compounders
Return on equity above 15%, margins above 10%, debt to equity below 1 and growing revenue.
Qualifying companies 234 Top 50 shown
Companies scored 5028 5028 in market
Average combined score 62.3/100 Qualifying list
Market US USD
Summary
Companies
Comparison
Historical record
How it works
Current qualifying list
Quality Compounders companies Ranks run from 0 to 100. A higher rank is stronger on value, financial strength or price performance.
#1 SSRM SSR Mining Inc Basic Materials
Return on equity 7908.8%
Marg 13.9%
Strength rank 98.0/100
RevG 48.4%
F-Score 7/9
Combined score 75.0/100
Volatility 68.5%
Value rank 28.0/100
#2 WDC Western Digital Corporation Technology
Return on equity 106.3%
Marg 72.9%
Strength rank 92.0/100
RevG 13.4%
F-Score 6/9
Combined score 51.0/100
Volatility 75.9%
Value rank 3.0/100
#3 NVDA NVIDIA Corporation Technology
Return on equity 84.2%
Marg 63.7%
Strength rank 92.0/100
RevG 83.4%
F-Score 4/9
Combined score 41.0/100
Volatility 32.8%
Value rank 3.0/100
#4 SNDK Sandisk Corp Technology
Return on equity 72.7%
Marg 56.5%
Strength rank 98.0/100
RevG 175.3%
F-Score 7/9
Combined score 58.0/100
Volatility 110.2%
Value rank 7.0/100
#5 SEZL Sezzle Inc. Financial Services
Return on equity 69.3%
Marg 30.4%
Strength rank 99.0/100
RevG 43.1%
F-Score 7/9
Combined score 60.0/100
Volatility 75.1%
Value rank 16.0/100
#6 FBIO Fortress Biotech Inc Healthcare
Return on equity 68.1%
Marg 163.3%
Strength rank 67.0/100
RevG 15.5%
F-Score 5/9
Combined score 84.0/100
Volatility 59.0%
Value rank 94.0/100
#7 FBIOP Fortress Biotech Inc Pref Series A Healthcare
Return on equity 68.1%
Marg 163.3%
Strength rank 52.0/100
RevG 15.5%
F-Score 5/9
Combined score 61.0/100
Volatility 58.3%
Value rank 55.0/100
#8 UI Ubiquiti Networks Inc Technology
Return on equity 66.7%
Marg 29.3%
Strength rank 84.0/100
RevG 27.2%
F-Score 4/9
Combined score 10.0/100
Volatility 57.7%
Value rank 2.0/100
#9 LNZA LanzaTech Global Inc. Industrials
Return on equity 66.1%
Marg 295.7%
Strength rank 6.0/100
RevG 43.8%
F-Score 3/9
Combined score 38.0/100
Volatility 155.0%
Value rank 80.0/100
#10 SKHY SK Hynix Inc. American Depositary Shares Technology
Return on equity 61.7%
Marg 85.6%
Strength rank 42.0/100
RevG 46.8%
F-Score 8/9
Combined score 39.0/100
Volatility 63.5%
Value rank 45.0/100
#11 LRCX Lam Research Corp Technology
Return on equity 58.3%
Marg 31.3%
Strength rank 95.0/100
RevG 26.0%
F-Score 8/9
Combined score 50.0/100
Volatility 54.5%
Value rank 1.0/100
#12 ASND Ascendis Pharma AS Healthcare
Return on equity 52.6%
Marg 71.7%
Strength rank 86.0/100
RevG 90.2%
F-Score 5/9
Combined score 37.0/100
Volatility 38.2%
Value rank 2.0/100
#13 AUPH Aurinia Pharmaceuticals Inc Healthcare
Return on equity 51.1%
Marg 100.8%
Strength rank 97.0/100
RevG 19.8%
F-Score 7/9
Combined score 92.0/100
Volatility 31.3%
Value rank 68.0/100
#14 MU Micron Technology Inc Technology
Return on equity 50.1%
Marg 55.9%
Strength rank 97.0/100
RevG 167.0%
F-Score 7/9
Combined score 59.0/100
Volatility 75.6%
Value rank 8.0/100
#15 FRO Frontline Ltd Energy
Return on equity 47.1%
Marg 54.8%
Strength rank 89.0/100
RevG 48.8%
F-Score 7/9
Combined score 96.0/100
Volatility 49.1%
Value rank 79.0/100
#16 EXEL Exelixis Inc Healthcare
Return on equity 46.7%
Marg 35.3%
Strength rank 99.0/100
RevG 9.2%
F-Score 7/9
Combined score 74.0/100
Volatility 28.4%
Value rank 28.0/100
#17 ECO Okeanis Eco Tankers Corp. Industrials
Return on equity 45.8%
Marg 56.9%
Strength rank 82.0/100
RevG 105.2%
F-Score 6/9
Combined score 94.0/100
Volatility 45.7%
Value rank 75.0/100
#18 NFLX Netflix Inc Communication Services
Return on equity 45.3%
Marg 28.2%
Strength rank 78.0/100
RevG 16.0%
F-Score 7/9
Combined score 16.0/100
Volatility 36.4%
Value rank 19.0/100
#19 SCCO Southern Copper Corporation Basic Materials
Return on equity 44.9%
Marg 35.9%
Strength rank 97.0/100
RevG 32.8%
F-Score 7/9
Combined score 55.0/100
Volatility 47.8%
Value rank 8.0/100
#20 EVER EverQuote Inc Class A Communication Services
Return on equity 44.6%
Marg 15.2%
Strength rank 96.0/100
RevG 22.7%
F-Score 6/9
Combined score 90.0/100
Volatility 65.6%
Value rank 91.0/100
#21 DUOT Duos Technologies Group Inc Technology
Return on equity 44.1%
Marg 318.8%
Strength rank 12.0/100
RevG 86.4%
F-Score 5/9
Combined score 69.0/100
Volatility 74.9%
Value rank 71.0/100
#22 DECK Deckers Outdoor Corporation Consumer Cyclical
Return on equity 44.1%
Marg 18.4%
Strength rank 96.0/100
RevG 7.9%
F-Score 6/9
Combined score 83.0/100
Volatility 44.0%
Value rank 85.0/100
#23 BLBD Blue Bird Corp Industrials
Return on equity 43.0%
Marg 17.5%
Strength rank 83.0/100
RevG 13.5%
F-Score 8/9
Combined score 91.0/100
Volatility 38.6%
Value rank 82.0/100
#24 CENX Century Aluminum Company Basic Materials
Return on equity 43.0%
Marg 22.6%
Strength rank 74.0/100
RevG 9.7%
F-Score 7/9
Combined score 94.0/100
Volatility 64.8%
Value rank 82.0/100
#25 AU AngloGold Ashanti plc Basic Materials
Return on equity 42.5%
Marg 32.2%
Strength rank 99.0/100
RevG 54.6%
F-Score 8/9
Combined score 95.0/100
Volatility 67.3%
Value rank 77.0/100
#26 ADMA ADMA Biologics Inc Healthcare
Return on equity 41.4%
Marg 33.0%
Strength rank 90.0/100
RevG 8.0%
F-Score 5/9
Combined score 73.0/100
Volatility 56.4%
Value rank 70.0/100
#27 CRMD CorMedix Inc Healthcare
Return on equity 40.6%
Marg 40.5%
Strength rank 98.0/100
RevG 280.5%
F-Score 5/9
Combined score 90.0/100
Volatility 55.5%
Value rank 96.0/100
#28 YB Yuanbao Inc. American Depositary Shares Technology
Return on equity 39.9%
Marg 29.9%
Strength rank 95.0/100
RevG 32.9%
F-Score 6/9
Combined score 89.0/100
Volatility 43.5%
Value rank 98.0/100
#29 GFI Gold Fields Ltd ADR Basic Materials
Return on equity 39.9%
Marg 40.8%
Strength rank 98.0/100
RevG 68.8%
F-Score 8/9
Combined score 86.0/100
Volatility 55.7%
Value rank 80.0/100
#30 SPOT Spotify Technology SA Communication Services
Return on equity 39.8%
Marg 18.4%
Strength rank 88.0/100
RevG 9.7%
F-Score 6/9
Combined score 9.0/100
Volatility 44.7%
Value rank 3.0/100
#31 CGEN Compugen Healthcare
Return on equity 39.7%
Marg 47.6%
Strength rank 96.0/100
RevG 234.2%
F-Score 7/9
Combined score 98.0/100
Volatility 63.1%
Value rank 82.0/100
#32 AVGO Broadcom Inc Technology
Return on equity 38.4%
Marg 42.9%
Strength rank 98.0/100
RevG 48.7%
F-Score 8/9
Combined score 39.0/100
Volatility 46.1%
Value rank 3.0/100
#33 GOOGL Alphabet Inc Class A Communication Services
Return on equity 38.1%
Marg 54.8%
Strength rank 84.0/100
RevG 20.1%
F-Score 6/9
Combined score 44.0/100
Volatility 34.2%
Value rank 5.0/100
#34 GOOG Alphabet Inc Class C Communication Services
Return on equity 38.1%
Marg 54.8%
Strength rank 84.0/100
RevG 20.1%
F-Score 6/9
Combined score 43.0/100
Volatility 34.1%
Value rank 5.0/100
#35 IESC IES Holdings Inc Industrials
Return on equity 37.1%
Marg 11.4%
Strength rank 76.0/100
RevG 22.7%
F-Score 6/9
Combined score 42.0/100
Volatility 59.5%
Value rank 5.0/100
#36 QLYS Qualys Inc Technology
Return on equity 36.7%
Marg 29.3%
Strength rank 99.0/100
RevG 10.5%
F-Score 7/9
Combined score 51.0/100
Volatility 63.1%
Value rank 6.0/100
#37 MGTX MeiraGTx Holdings PLC Healthcare
Return on equity 36.6%
Marg 19.9%
Strength rank 85.0/100
RevG 948.3%
F-Score 5/9
Combined score 77.0/100
Volatility 55.9%
Value rank 35.0/100
#38 EHLD Euroholdings Ltd. Industrials
Return on equity 36.5%
Marg 40.0%
Strength rank 53.0/100
RevG 74.6%
F-Score 5/9
Combined score 62.0/100
Volatility 47.2%
Value rank 56.0/100
#39 AMAT Applied Materials Inc Technology
Return on equity 36.2%
Marg 30.1%
Strength rank 89.0/100
RevG 7.8%
F-Score 6/9
Combined score 48.0/100
Volatility 48.7%
Value rank 2.0/100
#40 DHT DHT Holdings Inc Energy
Return on equity 35.6%
Marg 65.5%
Strength rank 80.0/100
RevG 38.9%
F-Score 6/9
Combined score 93.0/100
Volatility 38.3%
Value rank 77.0/100
Return on equity 35.3%
Marg 41.4%
Strength rank 87.0/100
RevG 19.5%
F-Score 8/9
Combined score 39.0/100
Volatility 38.2%
Value rank 35.0/100
#42 TSM Taiwan Semiconductor Manufacturing Technology
Return on equity 34.9%
Marg 50.4%
Strength rank 34.0/100
RevG 30.8%
F-Score 8/9
Combined score 21.0/100
Volatility 28.8%
Value rank 37.0/100
#43 INSW International Seaways Inc Energy
Return on equity 34.4%
Marg 61.9%
Strength rank 86.0/100
RevG 57.7%
F-Score 6/9
Combined score 97.0/100
Volatility 38.0%
Value rank 84.0/100
#44 LOGI Logitech International SA Technology
Return on equity 33.9%
Marg 16.2%
Strength rank 97.0/100
RevG 6.6%
F-Score 6/9
Combined score 46.0/100
Volatility 38.5%
Value rank 30.0/100
#45 TXN Texas Instruments Incorporated Technology
Return on equity 33.6%
Marg 31.1%
Strength rank 97.0/100
RevG 16.7%
F-Score 7/9
Combined score 49.0/100
Volatility 40.2%
Value rank 2.0/100
#46 LOPE Grand Canyon Education Inc Consumer Defensive
Return on equity 33.5%
Marg 19.6%
Strength rank 97.0/100
RevG 7.0%
F-Score 7/9
Combined score 43.0/100
Volatility 30.0%
Value rank 33.0/100
#47 TER Teradyne Inc Technology
Return on equity 33.5%
Marg 25.8%
Strength rank 93.0/100
RevG 57.9%
F-Score 7/9
Combined score 49.0/100
Volatility 63.5%
Value rank 1.0/100
#48 FAST Fastenal Company Industrials
Return on equity 33.2%
Marg 15.5%
Strength rank 88.0/100
RevG 12.5%
F-Score 7/9
Combined score 32.0/100
Volatility 24.3%
Value rank 2.0/100
#49 FHI Federated Investors Inc B Financial Services
Return on equity 32.9%
Marg 21.2%
Strength rank 96.0/100
RevG 15.5%
F-Score 8/9
Combined score 88.0/100
Volatility 20.3%
Value rank 84.0/100
#50 KGC Kinross Gold Corporation Basic Materials
Return on equity 32.7%
Marg 37.6%
Strength rank 98.0/100
RevG 38.2%
F-Score 9/9
Combined score 95.0/100
Volatility 57.8%
Value rank 85.0/100
Full comparison table
Rank Company Sector Combined Value Financial strength Price performance P/E ROE Volatility
1 SSRM SSR Mining Inc Basic Materials 75.0/100 28.0/100 98.0/100 93.0/100 28.1ร 7908.8% 68.5% 2 WDC Western Digital Corporation Technology 51.0/100 3.0/100 92.0/100 99.0/100 16.9ร 106.3% 75.9% 3 NVDA NVIDIA Corporation Technology 41.0/100 3.0/100 92.0/100 81.0/100 27.8ร 84.2% 32.8% 4 SNDK Sandisk Corp Technology 58.0/100 7.0/100 98.0/100 99.0/100 22.9ร 72.7% 110.2% 5 SEZL Sezzle Inc. Financial Services 60.0/100 16.0/100 99.0/100 84.0/100 24.3ร 69.3% 75.1% 6 FBIO Fortress Biotech Inc Healthcare 84.0/100 94.0/100 67.0/100 19.0/100 0.7ร 68.1% 59.0% 7 FBIOP Fortress Biotech Inc Pref Series A Healthcare 61.0/100 55.0/100 52.0/100 54.0/100 โ 68.1% 58.3% 8 UI Ubiquiti Networks Inc Technology 10.0/100 2.0/100 84.0/100 15.0/100 37.2ร 66.7% 57.7% 9 LNZA LanzaTech Global Inc. Industrials 38.0/100 80.0/100 6.0/100 6.0/100 0.4ร 66.1% 155.0% 10 SKHY SK Hynix Inc. American Depositary Shares Technology 39.0/100 45.0/100 42.0/100 44.0/100 โ 61.7% 63.5% 11 LRCX Lam Research Corp Technology 50.0/100 1.0/100 95.0/100 97.0/100 49.6ร 58.3% 54.5% 12 ASND Ascendis Pharma AS Healthcare 37.0/100 2.0/100 86.0/100 81.0/100 20.6ร 52.6% 38.2% 13 AUPH Aurinia Pharmaceuticals Inc Healthcare 92.0/100 68.0/100 97.0/100 84.0/100 7.2ร 51.1% 31.3% 14 MU Micron Technology Inc Technology 59.0/100 8.0/100 97.0/100 99.0/100 22.7ร 50.1% 75.6% 15 FRO Frontline Ltd Energy 96.0/100 79.0/100 89.0/100 95.0/100 7.7ร 47.1% 49.1% 16 EXEL Exelixis Inc Healthcare 74.0/100 28.0/100 99.0/100 89.0/100 16.8ร 46.7% 28.4% 17 ECO Okeanis Eco Tankers Corp. Industrials 94.0/100 75.0/100 82.0/100 97.0/100 8.2ร 45.8% 45.7% 18 NFLX Netflix Inc Communication Services 16.0/100 19.0/100 78.0/100 13.0/100 21.9ร 45.3% 36.4% 19 SCCO Southern Copper Corporation Basic Materials 55.0/100 8.0/100 97.0/100 91.0/100 29.2ร 44.9% 47.8% 20 EVER EverQuote Inc Class A Communication Services 90.0/100 91.0/100 96.0/100 31.0/100 7.2ร 44.6% 65.6% 21 DUOT Duos Technologies Group Inc Technology 69.0/100 71.0/100 12.0/100 80.0/100 2.9ร 44.1% 74.9% 22 DECK Deckers Outdoor Corporation Consumer Cyclical 83.0/100 85.0/100 96.0/100 6.0/100 10.5ร 44.1% 44.0% 23 BLBD Blue Bird Corp Industrials 91.0/100 82.0/100 83.0/100 67.0/100 6.8ร 43.0% 38.6% 24 CENX Century Aluminum Company Basic Materials 94.0/100 82.0/100 74.0/100 91.0/100 6.4ร 43.0% 64.8% 25 AU AngloGold Ashanti plc Basic Materials 95.0/100 77.0/100 99.0/100 86.0/100 13.7ร 42.5% 67.3% 26 ADMA ADMA Biologics Inc Healthcare 73.0/100 70.0/100 90.0/100 13.0/100 12.1ร 41.4% 56.4% 27 CRMD CorMedix Inc Healthcare 90.0/100 96.0/100 98.0/100 18.0/100 3.2ร 40.6% 55.5% 28 YB Yuanbao Inc. American Depositary Shares Technology 89.0/100 98.0/100 95.0/100 11.0/100 0.4ร 39.9% 43.5% 29 GFI Gold Fields Ltd ADR Basic Materials 86.0/100 80.0/100 98.0/100 30.0/100 10.6ร 39.9% 55.7% 30 SPOT Spotify Technology SA Communication Services 9.0/100 3.0/100 88.0/100 5.0/100 31.4ร 39.8% 44.7% 31 CGEN Compugen Healthcare 98.0/100 82.0/100 96.0/100 95.0/100 6.7ร 39.7% 63.1% 32 AVGO Broadcom Inc Technology 39.0/100 3.0/100 98.0/100 70.0/100 44.6ร 38.4% 46.1% 33 GOOGL Alphabet Inc Class A Communication Services 44.0/100 5.0/100 84.0/100 88.0/100 17.5ร 38.1% 34.2% 34 GOOG Alphabet Inc Class C Communication Services 43.0/100 5.0/100 84.0/100 87.0/100 17.2ร 38.1% 34.1% 35 IESC IES Holdings Inc Industrials 42.0/100 5.0/100 76.0/100 94.0/100 28.1ร 37.1% 59.5% 36 QLYS Qualys Inc Technology 51.0/100 6.0/100 99.0/100 85.0/100 29.8ร 36.7% 63.1% 37 MGTX MeiraGTx Holdings PLC Healthcare 77.0/100 35.0/100 85.0/100 95.0/100 16.1ร 36.6% 55.9% 38 EHLD Euroholdings Ltd. Industrials 62.0/100 56.0/100 53.0/100 55.0/100 4.0ร 36.5% 47.2% 39 AMAT Applied Materials Inc Technology 48.0/100 2.0/100 89.0/100 97.0/100 38.1ร 36.2% 48.7% 40 DHT DHT Holdings Inc Energy 93.0/100 77.0/100 80.0/100 91.0/100 7.9ร 35.6% 38.3% 41 PTC PTC Inc Technology 39.0/100 35.0/100 87.0/100 18.0/100 12.0ร 35.3% 38.2% 42 TSM Taiwan Semiconductor Manufacturing Technology 21.0/100 37.0/100 34.0/100 36.0/100 โ 34.9% 28.8% 43 INSW International Seaways Inc Energy 97.0/100 84.0/100 86.0/100 96.0/100 7.1ร 34.4% 38.0% 44 LOGI Logitech International SA Technology 46.0/100 30.0/100 97.0/100 30.0/100 18.2ร 33.9% 38.5% 45 TXN Texas Instruments Incorporated Technology 49.0/100 2.0/100 97.0/100 91.0/100 40.2ร 33.6% 40.2% 46 LOPE Grand Canyon Education Inc Consumer Defensive 43.0/100 33.0/100 97.0/100 18.0/100 17.6ร 33.5% 30.0% 47 TER Teradyne Inc Technology 49.0/100 1.0/100 93.0/100 98.0/100 50.5ร 33.5% 63.5% 48 FAST Fastenal Company Industrials 32.0/100 2.0/100 88.0/100 71.0/100 41.6ร 33.2% 24.3% 49 FHI Federated Investors Inc B Financial Services 88.0/100 84.0/100 96.0/100 34.0/100 10.3ร 32.9% 20.3% 50 KGC Kinross Gold Corporation Basic Materials 95.0/100 85.0/100 98.0/100 72.0/100 10.6ร 32.7% 57.8%
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.
Cumulative return 10.38% 2026-06-07 to 2026-09-18
Weekly periods 16 Periods with usable prices
Record type Rebalanced See method below
Status Available Completed stored prices
Calendar years
Return by year
Calendar months
Monthly return record
Selection rules
What the screen does Open a company page to see its exact inputs and every other approach it currently passes.
Return on equity above 15%, margins above 10%, debt to equity below 1 and growing revenue. Companies must pass the stated profitability, margin, leverage and revenue-growth tests. Each underlying figure is available on the company page.
1 ยท Market
Start with the selected market The screen uses published weekly company records from the market shown at the top of the page.
2 ยท Rules
Apply the same tests to every company The named measures, thresholds and sorting order are fixed for the screen.
3 ยท 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.