Structured JSON API for this factor page: https://sharemaestro.com/factors/api/screener/
Factor Screener
O'Shaughnessy multi-factor screening engine
· Snapshot 7 Jun 2026
25+
Matches
2
Pages
Cornerstone Value
Active Screen
Preset: cornerstone_value ×
Preset Screens
▾
OS Top Picks
Highest OS composite — balanced value, quality, momentum
Trending Value (VC2)
O'Shaughnessy's #1 strategy — cheapest VC2 decile + 6M momentum
Deep Value
Low P/E, high earnings yield, strong F-Score
VC2 Cheapest Decile
Top 10% by Value Composite 2 — O'Shaughnessy multi-factor value
Quality at a Price
High QV composite — avoids value traps via quality gate
Cornerstone Value
O'Shaughnessy Market Leaders (ex-utilities) ranked by dividend yield
Cornerstone Growth
All Stocks universe, P/S < 1.5, 5yr earnings consistency, strongest momentum
GARP
Growth at a reasonable price — revenue growth + moderate P/E
Shareholder Yield
Dividends + buybacks + debt paydown — O'Shaughnessy's total cash return
EBITDA/EV Value
Highest EBITDA/EV (positive only) — O'Shaughnessy's strongest value signal
Trending Value (Classic)
Cheapest decile by value + 6M momentum overlay
Quality Compounders
High ROE, margins, low debt — long-term compounders
Piotroski Bargains
F-Score ≥7 with top-half value
Alpha Within Value
Cheap + internally funded buybacks + good capital allocation
Veiled Value
OSAM insight: expensive by P/B but cheap by everything else
Consistent Earners
5+ years of consecutive EPS growth — O'Shaughnessy growth signal
Momentum Leaders
Strongest 12-1 momentum with controlled risk
Market Leaders Value
OSAM production strategy — market leaders + shareholder yield
Small Cap Value
Small/micro caps with strong value — higher alpha potential
Tiny Titans
O'Shaughnessy micro-caps (~25M-250M local currency), low P/S, momentum
Low Volatility
Defensive picks — lowest vol with positive momentum
OS Score Improvers
Biggest positive change in composite score vs prior snapshot
Cheapest in Sector
Sector-relative bargains (fallback: top value cohort when sector score unavailable)
High Yield
Top dividend and FCF yields for income investors
25+
tickers match
· Page 1 of 2
KOF
Coca-Cola Femsa SAB de CV ADR
0.900
Consumer Defensive
Beverages - Non-Alcoholic
LARGE
Value%
0.730
Quality%
0.910
Mom%
0.670
P/E
11.2×
F-Score
5/9
E/Y
0.0892
EBITDA/EV
0.1229
SH Yield
0.8354
ROE
2.0834
Margin
0.0726
Vol
0.2387
RAM
0.59
QV
0.815
Conf
1.000
IBN
ICICI Bank Limited
0.800
Financial Services
Banks - Regional
LARGE
Value%
0.640
Quality%
0.640
Mom%
0.650
F-Score
5/9
ROE
0.1496
Margin
0.1736
Vol
0.2180
RAM
-1.00
QV
0.640
Conf
1.000
UMC
United Microelectronics
0.990
Technology
Semiconductors
LARGE
Value%
0.990
Quality%
0.820
Mom%
0.950
P/E
1.0×
F-Score
5/9
E/Y
1.0187
EBITDA/EV
2.4293
SH Yield
0.7314
ROE
0.1232
Margin
0.2082
Vol
0.4865
RAM
2.35
QV
0.901
Conf
1.000
AMX
America Movil SAB de CV ADR
0.990
Communication Services
Telecom Services
LARGE
Value%
0.980
Quality%
0.980
Mom%
0.860
P/E
0.9×
F-Score
8/9
E/Y
1.1616
EBITDA/EV
0.6971
SH Yield
0.4420
ROE
0.2378
Margin
0.0923
Vol
0.2738
RAM
2.37
QV
0.980
Conf
1.000
ITUB
Itau Unibanco Banco Holding SA
0.960
Financial Services
Banks - Regional
LARGE
Value%
0.970
Quality%
0.660
Mom%
0.780
P/E
1.8×
F-Score
5/9
E/Y
0.5486
EBITDA/EV
0.0712
SH Yield
0.3788
ROE
0.2116
Margin
0.1191
Vol
0.3164
RAM
1.37
QV
0.800
Conf
0.970
BBD
Banco Bradesco SA ADR
0.860
Financial Services
Banks - Regional
LARGE
Value%
0.920
Quality%
0.170
Mom%
0.770
P/E
1.6×
F-Score
6/9
E/Y
0.6412
SH Yield
0.3063
ROE
0.6618
Margin
0.0632
Vol
0.3396
RAM
1.20
QV
0.395
Conf
0.939
ASX
ASE Industrial Holding Co Ltd ADR
0.990
Technology
Semiconductors
LARGE
Value%
0.990
Quality%
0.890
Mom%
0.970
P/E
1.6×
F-Score
6/9
E/Y
0.6175
EBITDA/EV
0.5309
SH Yield
0.3035
ROE
0.1344
Margin
0.0707
Vol
0.4725
RAM
5.61
QV
0.939
Conf
1.000
NVO
Novo Nordisk A/S
0.880
Healthcare
Drug Manufacturers - General
LARGE
Value%
0.970
Quality%
0.930
Mom%
0.060
P/E
1.6×
F-Score
5/9
E/Y
0.6381
EBITDA/EV
0.5738
SH Yield
0.2742
ROE
0.6006
Margin
0.3720
Vol
0.5957
RAM
-0.59
QV
0.950
Conf
1.000
JD
JD.com Inc Adr
0.510
Consumer Cyclical
Internet Retail
LARGE
Value%
0.490
Quality%
0.480
Mom%
0.480
F-Score
4/9
ROE
0.0640
Margin
0.0104
Vol
0.2970
RAM
-0.20
QV
0.485
Conf
1.000
BSBR
Banco Santander Brasil SA ADR
0.770
Financial Services
Banks - Regional
LARGE
Value%
0.980
Quality%
0.230
Mom%
0.320
P/E
1.4×
F-Score
4/9
E/Y
0.7400
EBITDA/EV
1.0088
SH Yield
0.2411
ROE
0.2298
Margin
0.0818
Vol
0.3355
RAM
0.63
QV
0.475
Conf
1.000
TSM
Taiwan Semiconductor Manufacturing
0.770
Technology
Semiconductors
MEGA
Value%
0.630
Quality%
0.620
Mom%
0.630
F-Score
8/9
ROE
0.3283
Margin
0.4700
Vol
0.2807
RAM
3.67
QV
0.625
Conf
1.000
ERIC
Telefonaktiebolaget LM Ericsson B ADR
0.990
Technology
Communication Equipment
LARGE
Value%
0.980
Quality%
0.920
Mom%
0.840
P/E
1.7×
F-Score
7/9
E/Y
0.5901
EBITDA/EV
2.0005
SH Yield
0.2172
ROE
0.2432
Margin
0.1080
Vol
0.2938
RAM
1.49
QV
0.950
Conf
1.000
BBDO
Banco Bradesco S/A ADR
0.960
Financial Services
Banks - Regional
LARGE
Value%
0.930
Quality%
0.770
Mom%
0.770
P/E
1.3×
F-Score
8/9
E/Y
0.7555
EBITDA/EV
0.0543
SH Yield
0.1479
ROE
0.6753
Margin
0.0703
Vol
0.3432
RAM
1.30
QV
0.846
Conf
1.000
STLA
Stellantis NV
0.490
Consumer Cyclical
Auto Manufacturers
LARGE
Value%
0.890
Quality%
0.010
Mom%
0.110
F-Score
3/9
SH Yield
0.1162
ROE
-0.0239
Margin
-0.0057
Vol
0.5807
RAM
-0.37
QV
0.094
Conf
0.879
BABA
Alibaba Group Holding Ltd
0.720
Consumer Cyclical
Internet Retail
MEGA
Value%
0.980
Quality%
0.150
Mom%
0.290
P/E
2.8×
F-Score
3/9
E/Y
0.3559
EBITDA/EV
0.2908
SH Yield
0.1159
ROE
0.0980
Margin
0.1012
Vol
0.4188
RAM
0.46
QV
0.383
Conf
1.000
SHEL
Shell PLC ADR
0.880
Energy
Oil & Gas Integrated
MEGA
Value%
0.920
Quality%
0.290
Mom%
0.760
P/E
13.0×
F-Score
5/9
E/Y
0.0768
EBITDA/EV
0.2055
SH Yield
0.0344
ROE
0.1077
Margin
0.0701
Vol
0.1886
RAM
1.43
QV
0.517
Conf
1.000
CVS
CVS Health Corp
0.250
Healthcare
Healthcare Plans
LARGE
Value%
0.250
Quality%
0.130
Mom%
0.860
P/E
41.8×
F-Score
6/9
E/Y
0.0239
EBITDA/EV
0.0625
SH Yield
0.0277
ROE
0.0379
Margin
0.0072
Vol
0.2883
RAM
1.65
QV
0.180
Conf
0.970
XOM
Exxon Mobil Corp
0.330
Energy
Oil & Gas Integrated
MEGA
Value%
0.280
Quality%
0.230
Mom%
0.840
P/E
24.8×
F-Score
3/9
E/Y
0.0404
EBITDA/EV
0.0907
SH Yield
0.0275
ROE
0.0995
Margin
0.0776
Vol
0.2590
RAM
1.63
QV
0.254
Conf
1.000
UNH
UnitedHealth Group Incorporated
0.210
Healthcare
Healthcare Plans
MEGA
Value%
0.190
Quality%
0.240
Mom%
0.780
P/E
30.2×
F-Score
6/9
E/Y
0.0331
EBITDA/EV
0.0556
SH Yield
0.0220
ROE
0.1159
Margin
0.0268
Vol
0.4508
RAM
0.64
QV
0.214
Conf
0.970
CI
Cigna Corp
0.630
Healthcare
Healthcare Plans
LARGE
Value%
0.860
Quality%
0.270
Mom%
0.200
P/E
12.2×
F-Score
7/9
E/Y
0.0822
EBITDA/EV
0.1189
SH Yield
0.0211
ROE
0.1490
Margin
0.0226
Vol
0.3301
RAM
-0.20
QV
0.482
Conf
0.970
JPM
JPMorgan Chase & Co
0.580
Financial Services
Banks - Diversified
MEGA
Value%
0.290
Quality%
0.810
Mom%
0.690
P/E
14.8×
F-Score
6/9
E/Y
0.0675
EBITDA/EV
0.0454
SH Yield
0.0197
ROE
0.1618
Margin
0.2066
Vol
0.2153
RAM
0.74
QV
0.485
Conf
1.000
MSFT
Microsoft Corporation
0.150
Technology
Software - Infrastructure
MEGA
Value%
0.090
Quality%
0.980
Mom%
0.160
P/E
24.8×
F-Score
6/9
E/Y
0.0404
EBITDA/EV
0.0646
SH Yield
0.0083
ROE
0.3022
Margin
0.3934
Vol
0.2724
RAM
-0.41
QV
0.297
Conf
1.000
WMT
Walmart Inc.
0.370
Consumer Defensive
Discount Stores
MEGA
Value%
0.070
Quality%
0.840
Mom%
0.730
P/E
41.2×
F-Score
7/9
E/Y
0.0242
EBITDA/EV
0.0446
SH Yield
0.0080
ROE
0.2444
Margin
0.0318
Vol
0.2485
RAM
1.41
QV
0.242
Conf
1.000
COST
Costco Wholesale Corp
0.100
Consumer Defensive
Discount Stores
MEGA
Value%
0.050
Quality%
0.810
Mom%
0.210
P/E
49.6×
F-Score
6/9
E/Y
0.0202
EBITDA/EV
0.0341
SH Yield
0.0065
ROE
0.2598
Margin
0.0303
Vol
0.1951
RAM
-0.00
QV
0.201
Conf
0.986
META
Meta Platforms Inc.
0.250
Communication Services
Internet Content & Information
MEGA
Value%
0.180
Quality%
0.980
Mom%
0.150
P/E
21.5×
F-Score
5/9
E/Y
0.0464
EBITDA/EV
0.0728
SH Yield
0.0035
ROE
0.2897
Margin
0.3284
Vol
0.3662
RAM
-0.34
QV
0.420
Conf
1.000
Page 1 of 2
Next →