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
551 NEPH Nephros Inc Healthcare Medical Instruments & Supplies 670.00 1223 679 52.18x 1.92% 11.42% 41.0M
552 PCRX Pacira BioSciences, Inc. Healthcare Drug Manufacturers - Specialty & Generic 672.50 1305 658 46.83x 2.14% 6.08% 1.01B
553 QRHC Quest Resource Holding Corp Industrials Waste Management 674.50 1240 684 54.75x 1.83% 10.36% 28.4M
554 CROX Crocs Inc Consumer Cyclical Footwear & Accessories 675.00 1197 701 63.29x 1.58% 13.69% 6.81B
555 KLIC Kulicke and Soffa Industries Inc Technology Semiconductor Equipment & Materials 675.50 1194 705 66.73x 1.50% 14.10% 5.09B
556 LINE Lineage, Inc. Common Stock Real Estate Reit - Industrial 675.50 1342 650 43.54x 2.30% 3.45% 10.15B
557 GTIM Good Times Restaurants Inc Consumer Cyclical Restaurants 675.50 1351 647 41.31x 2.42% 2.64% 14.8M
558 ALLT Allot Communications Ltd Technology Software - Infrastructure 676.50 1266 681 52.62x 1.90% 9.18% 393.8M
559 HAS Hasbro Inc Consumer Cyclical Leisure 679.00 1193 714 86.22x 1.16% 14.59% 11.54B
560 ATRO Astronics Corporation Industrials Aerospace & Defense 679.00 1213 700 63.23x 1.58% 12.87% 3.32B
561 BBGI Beasley Broadcast Group Inc Communication Services Broadcasting 680.00 1296 678 52.11x 1.92% 7.50% 40.1M
562 IEP Icahn Enterprises LP Energy Oil & Gas Refining & Marketing 681.00 1349 659 47.61x 2.10% 3.66% 5.03B
563 ASYS Amtech Systems Inc Technology Semiconductor Equipment & Materials 683.50 1264 696 60.58x 1.65% 9.83% 291.5M
564 CLFD Clearfield Inc Technology Communication Equipment 683.50 1337 668 50.11x 2.00% 5.09% 416.4M
565 EQIX Equinix Inc Real Estate Reit - Specialty 684.00 1295 687 56.48x 1.77% 7.99% 100.60B
566 CRSR Corsair Gaming Inc Technology Computer Hardware 685.50 1304 685 54.92x 1.82% 7.43% 1.04B
567 TLN Talen Energy Corporation Utilities Utilities - Independent Power Producers 686.50 1317 680 52.51x 1.90% 6.60% 17.80B
568 ALGT Allegiant Travel Company Industrials Airlines 686.50 1364 665 49.41x 2.02% 3.03% 2.71B
569 PLAY Dave & Buster’s Entertainment Communication Services Entertainment 687.00 1370 664 49.19x 2.03% 2.54% 354.5M
570 ELSE Electro-Sensors Inc Technology Scientific & Technical Instruments 687.50 1300 690 57.29x 1.75% 7.87% 27.2M
571 TRNS Transcat Inc Industrials Specialty Business Services 689.50 1269 704 65.49x 1.53% 10.09% 820.5M
572 CVGI Commercial Vehicle Group Inc Consumer Cyclical Auto Parts 692.00 1380 672 51.25x 1.95% 2.30% 153.8M
573 Z Zillow Group Inc Class C Communication Services Internet Content & Information 692.50 1250 717 91.57x 1.09% 11.77% 7.76B
574 AMSC American Superconductor Corporation Industrials Specialty Industrial Machinery 697.00 1271 718 91.71x 1.09% 10.83% 1.60B
575 RELL Richardson Electronics Ltd Technology Electronic Components 697.00 1378 683 53.69x 1.86% 3.34% 250.1M
576 CTRN Citi Trends Inc Consumer Cyclical Apparel Retail 697.50 1366 686 56.29x 1.78% 4.45% 534.9M
577 RDNT RadNet Inc Healthcare Diagnostics & Research 698.00 1318 702 64.76x 1.54% 7.51% 4.89B
578 ELVA Electrovaya Inc. Industrials Electrical Equipment & Parts 702.00 1298 721 93.97x 1.06% 9.62% 469.3M
579 RFIL RF Industries Ltd Industrials Electrical Equipment & Parts 702.50 1344 703 65.14x 1.54% 6.50% 142.6M
580 SWAG Software Acquisition Group III Inc Communication Services Advertising Agencies 702.50 1391 691 57.32x 1.74% 2.94% 39.1M
581 UROY Uranium Royalty Corp Energy Uranium 702.50 1398 688 56.65x 1.77% 1.97% 411.9M
582 CSIQ Canadian Solar Inc Technology Solar 705.50 1405 692 57.75x 1.73% 1.81% 1.02B
583 WSC Willscot Mobile Mini Holdings Corp A Industrials Rental & Leasing Services 706.00 1387 699 62.52x 1.60% 3.74% 4.93B
584 TSEM Tower Semiconductor Ltd Technology Semiconductors 707.50 1312 723 97.38x 1.03% 9.09% 26.46B
585 OCC Optical Cable Corporation Technology Communication Equipment 707.50 1355 709 73.57x 1.36% 6.15% 130.1M
586 ICUI ICU Medical Inc Healthcare Medical Instruments & Supplies 710.00 1357 713 86.22x 1.16% 6.34% 3.94B
587 CRMT Americas Car-Mart Inc Consumer Cyclical Auto & Truck Dealerships 714.50 1427 706 69.30x 1.44% 0.93% 31.4M
588 LSE Leishen Energy Holding Co., Ltd. Ordinary Shares Energy Oil & Gas Equipment & Services 715.50 1416 711 81.53x 1.23% 2.54% 74.9M
589 STKS One Group Hospitality Inc Consumer Cyclical Restaurants 715.50 1417 710 79.27x 1.26% 2.43% 58.6M
590 HKPD Hong Kong Pharma Digital Technology Holdings Limited Ordinary shares Healthcare Medical Distribution 717.00 1424 712 82.31x 1.21% 1.87% 8.9M
591 MMED MiniMed Group, Inc. Common Stock Healthcare Health Information Services 719.00 1404 720 93.91x 1.06% 4.07% 4.75B
592 CWST Casella Waste Systems Inc Industrials Waste Management 719.50 1392 724 97.89x 1.02% 5.18% 6.09B
593 COOT Australian Oilseeds Holdings Limited Ordinary Shares Consumer Defensive Packaged Foods 721.50 1433 719 93.59x 1.07% 1.78% 12.9M
594 SDA SunCar Technology Group Inc. Consumer Cyclical Auto & Truck Dealerships 725.00 1442 725 98.76x 1.01% 1.32% 83.9M
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