SVQF Screener

Strong value factors, strong quality factors, and Sharemaestro Composite rankings across full exchange universes.

Jul 19, 2026
How this screener works

This screener ranks companies with a strict value and quality framework based on strong value factors and strong quality factors. Every row is a completed weekly snapshot calculated deterministically across the selected exchange from published, rankable factor data. Rows with non-positive EV, EBIT, quality return on capital, or economically implausible unit/currency artefacts are excluded from SVQF ranking so loss-making or structurally invalid multiples cannot rise to the top.

SVF — Value Screen

Ranks a strong value factor: EV / EBIT. Lower positive multiples rank better, measuring how cheaply the operating business can be acquired.

SQF — Quality Screen

Ranks strong quality factors: EBIT / EV plus EBIT / (NWC + Net PPE). Lower rank sum is better. Extreme ROC readings caused by tiny operating-capital bases are filtered before ranking, so the quality screen does not reward fragile denominator effects.

Composite Score

Combines SVF and SQF into the Sharemaestro Composite: 50% SVF rank plus 50% SQF rank. Lower score is better.

Filters

  • Exclude Financials — removes banks, insurers, and financial companies where these metrics are structurally less comparable.
  • Market Cap — segment by company size to compare like-for-like.
  • Sector / Industry — drill into specific business themes.

Tip: click a ticker symbol to open the Sharemaestro terminal for deeper analysis.

Exchange
Snapshot
Market Cap
Sector
Industry
Reset
NASDAQ Jul 19, 2026 Sharemaestro Composite Financials excluded 594 results
# Ticker Company Sector Industry Score SQF SVF EV/EBIT EY ROC Mkt Cap
451 NCI Neo-Concept International Group Holdings Limited Ordinary Shares Consumer Cyclical Apparel Manufacturing 557.00 1170 479 23.22x 4.31% 3.52% 28.5M
452 GLNG Golar LNG Limited Energy Oil & Gas Midstream 557.50 1075 532 26.40x 3.79% 11.43% 5.05B
453 NWE NorthWestern Corporation Utilities Utilities - Regulated Electric 558.50 1160 489 23.62x 4.23% 4.89% 4.43B
454 LAMR Lamar Advertising Company Real Estate Reit - Specialty 559.50 988 583 31.52x 3.17% 19.54% 16.47B
455 DWSN Dawson Geophysical Company Energy Oil & Gas Equipment & Services 559.50 1052 547 28.01x 3.57% 13.08% 139.1M
456 WOOF Pet Acquisition LLC Consumer Cyclical Specialty Retail 559.50 1134 506 25.00x 4.00% 7.11% 759.6M
457 TXN Texas Instruments Incorporated Technology Semiconductors 560.00 898 640 40.12x 2.49% 32.79% 258.48B
458 AEP American Electric Power Co Inc Utilities Utilities - Regulated Electric 561.00 1158 497 24.26x 4.12% 5.49% 71.90B
459 AMKR Amkor Technology Inc Technology Semiconductor Equipment & Materials 562.50 1084 539 27.12x 3.69% 11.32% 15.60B
460 PLXS Plexus Corp Technology Electronic Components 565.50 1029 572 30.37x 3.29% 15.96% 6.71B
461 LYTS LSI Industries Inc Technology Electronic Components 565.50 1038 565 29.83x 3.35% 15.26% 878.5M
462 ASTE Astec Industries Inc Industrials Farm & Heavy Construction Machinery 567.00 1119 531 26.37x 3.79% 9.10% 1.27B
463 SHLS Shoals Technologies Group Inc Technology Solar 569.50 989 602 34.40x 2.91% 20.46% 1.73B
464 PTLO Portillo's Inc Consumer Cyclical Restaurants 570.00 1158 515 25.32x 3.95% 6.38% 338.0M
465 GLBE Global-E Online Ltd Consumer Cyclical Internet Retail 571.00 890 667 50.09x 2.00% 38.50% 6.40B
466 ALKS Alkermes Plc Healthcare Drug Manufacturers - Specialty & Generic 571.50 916 648 42.23x 2.37% 32.03% 8.79B
467 IRDM Iridium Communications Inc Communication Services Telecom Services 572.00 1099 553 28.94x 3.46% 11.12% 4.95B
468 CHEF The Chefs Warehouse Inc Consumer Defensive Food Distribution 573.00 1042 578 30.96x 3.23% 15.74% 3.96B
469 EYE National Vision Holdings Inc Consumer Cyclical Specialty Retail 573.00 1080 561 29.32x 3.41% 12.54% 1.66B
470 SONO Sonos Inc Technology Consumer Electronics 576.50 919 654 45.74x 2.19% 32.17% 1.80B
471 ACLS Axcelis Technologies Inc Technology Semiconductor Equipment & Materials 577.00 1029 595 34.10x 2.93% 17.56% 4.19B
472 ENLT Enlight Renewable Energy Ltd. Ordinary Shares Utilities Utilities - Renewable 578.00 1132 546 27.89x 3.59% 9.15% 12.70B
473 VCYT Veracyte Inc Healthcare Diagnostics & Research 578.50 910 666 49.53x 2.02% 34.14% 4.72B
474 LNT Alliant Energy Corp Utilities Utilities - Regulated Electric 579.50 1176 522 26.00x 3.85% 5.75% 19.32B
475 CRNT Ceragon Networks Ltd Technology Communication Equipment 579.50 1185 520 25.74x 3.88% 5.29% 197.2M
476 JBHT JB Hunt Transport Services Inc Industrials Integrated Freight & Logistics 580.50 1070 580 30.99x 3.23% 13.97% 27.36B
477 BSET Bassett Furniture Industries Consumer Cyclical Furnishings, Fixtures & Appliances 582.00 1195 517 25.71x 3.89% 4.66% 187.0M
478 NVMI Nova Ltd Technology Semiconductor Equipment & Materials 582.50 936 655 45.96x 2.18% 30.34% 13.91B
479 ACAD ACADIA Pharmaceuticals Inc Healthcare Biotechnology 583.50 1014 615 36.07x 2.77% 19.81% 4.38B
480 HLIT Harmonic Inc Technology Communication Equipment 583.50 1030 605 34.66x 2.88% 18.34% 1.31B
481 COO The Cooper Companies, Inc Healthcare Medical Instruments & Supplies 584.00 1059 593 33.89x 2.95% 15.59% 13.99B
482 CDNL Cardinal Infrastructure Group Inc. Class A Common Stock Industrials Engineering & Construction 585.00 997 625 38.13x 2.62% 21.63% 1.42B
483 SBUX Starbucks Corporation Consumer Cyclical Restaurants 586.50 991 634 38.76x 2.58% 22.71% 120.23B
484 KRYS Krystal Biotech Inc Healthcare Biotechnology 588.00 922 674 51.38x 1.95% 33.86% 10.46B
485 DLHC DLH Holdings Corp Industrials Specialty Business Services 590.00 997 635 39.08x 2.56% 22.56% 79.7M
486 MKSI MKS Instruments Inc Technology Scientific & Technical Instruments 593.00 984 657 46.31x 2.16% 25.83% 21.93B
487 TRVG Trivago NV Communication Services Internet Content & Information 594.50 980 662 48.21x 2.07% 26.86% 398.8M
488 XEL Xcel Energy Inc Utilities Utilities - Regulated Electric 594.50 1208 533 26.59x 3.76% 4.71% 49.17B
489 MELI MercadoLibre Inc. Consumer Cyclical Internet Retail 599.50 1025 642 40.35x 2.48% 20.65% 91.96B
490 ROAD Construction Partners Inc Industrials Engineering & Construction 599.50 1103 604 34.56x 2.89% 13.48% 5.91B
491 CASY Caseys General Stores Inc Consumer Cyclical Specialty Retail 600.00 1071 618 36.47x 2.74% 16.19% 31.79B
492 MTLS Materialise NV Technology Software - Application 601.50 1172 567 29.94x 3.34% 8.14% 379.1M
493 FIVN Five9 Inc Technology Software - Infrastructure 602.50 1143 585 31.93x 3.13% 10.34% 1.96B
494 SAIA Saia Inc Industrials Trucking 603.50 1138 591 33.35x 3.00% 11.09% 11.62B
495 ILPT Industrial Logistics Properties Trust Real Estate Reit - Industrial 604.00 1159 581 31.06x 3.22% 9.56% 590.7M
496 AVO Mission Produce Inc Consumer Defensive Food Distribution 604.00 1196 560 29.31x 3.41% 6.65% 1.20B
497 TGTX TG Therapeutics Inc Healthcare Biotechnology 606.50 958 694 58.10x 1.72% 32.17% 8.40B
498 MEOH Methanex Corporation Basic Materials Chemicals 606.50 1228 551 28.64x 3.49% 4.69% 4.24B
499 YSWY Yesway, Inc. Class A Common Stock Consumer Defensive Grocery Stores 607.00 1179 576 30.78x 3.25% 8.18% 1.32B
500 JOUT Johnson Outdoors Inc Consumer Cyclical Leisure 607.50 1234 552 28.83x 3.47% 4.26% 484.5M
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