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
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NASDAQ Jul 19, 2026 Sharemaestro Composite Financials excluded 594 results
# Ticker Company Sector Industry Score SQF SVF EV/EBIT EY ROC Mkt Cap
51 PSIX Power Solutions International, Inc. Common Stock Industrials Specialty Industrial Machinery 96.50 317 95 8.41x 11.89% 38.98% 697.3M
52 ELOG Eastern International Ltd. Industrials Integrated Freight & Logistics 97.00 444 14 4.17x 24.00% 17.82% 10.3M
53 HXHX Haoxin Holdings Limited Class A Ordinary Shares Industrials Integrated Freight & Logistics 100.50 465 2 3.04x 32.92% 15.78% 7.8M
54 UTMD Utah Medical Products Inc Healthcare Medical Instruments & Supplies 104.00 233 145 10.05x 9.95% 70.01% 222.2M
55 ADMA ADMA Biologics Inc Healthcare Biotechnology 104.00 255 135 9.76x 10.24% 56.90% 2.02B
56 MAT Mattel Inc Consumer Cyclical Leisure 104.00 336 94 8.40x 11.91% 34.49% 4.16B
57 FLXS Flexsteel Industries Inc Consumer Cyclical Furnishings, Fixtures & Appliances 104.50 395 61 7.07x 14.14% 24.90% 297.4M
58 AENT Alliance Entertainment Holding Corporation Class A Common Stock Communication Services Entertainment 106.50 312 120 9.38x 10.66% 43.62% 294.5M
59 FOXA Fox Corp Class A Communication Services Entertainment 107.00 242 147 10.17x 9.83% 66.42% 24.19B
60 VC Visteon Corp Consumer Cyclical Auto Parts 107.50 332 106 8.83x 11.32% 38.28% 2.80B
61 EXE Expand Energy Corporation Energy Oil & Gas E&P 109.00 456 32 5.53x 18.08% 18.44% 21.08B
62 SCHL Scholastic Corporation Communication Services Publishing 110.00 391 75 7.74x 12.92% 27.00% 866.6M
63 RRR Red Rock Resorts Inc Consumer Cyclical Resorts & Casinos 110.00 430 48 6.38x 15.67% 20.65% 3.79B
64 INCY Incyte Corporation Healthcare Biotechnology 111.50 192 185 11.26x 8.88% 138.25% 23.42B
65 PLAB Photronics Inc Technology Semiconductor Equipment & Materials 114.00 435 54 6.77x 14.77% 20.72% 1.70B
66 RCMT RCM Technologies Inc Industrials Conglomerates 119.00 334 125 9.43x 10.61% 40.70% 196.3M
67 UNIT Uniti Group Inc Real Estate Reit - Specialty 119.00 440 62 7.14x 14.00% 20.97% 2.68B
68 ZM Zoom Video Communications Inc Technology Software - Application 119.50 324 137 9.81x 10.19% 44.05% 26.72B
69 BOSC BOS Better Online Solutions Technology Communication Equipment 121.00 459 51 6.62x 15.11% 19.32% 29.9M
70 MDXG MiMedx Group Inc Healthcare Biotechnology 122.00 222 186 11.33x 8.83% 104.08% 640.5M
71 NATR Natures Sunshine Products Inc Consumer Defensive Packaged Foods 122.00 337 129 9.50x 10.52% 40.82% 359.3M
72 OMER Omeros Corporation Healthcare Biotechnology 125.00 286 169 10.98x 9.11% 58.84% 701.3M
73 IBEX IBEX Ltd Technology Information Technology Services 126.00 374 113 9.02x 11.09% 32.44% 473.8M
74 CTRM Castor Maritime Inc Industrials Marine Shipping 126.00 541 5 3.23x 30.95% 11.73% 19.1M
75 VFF Village Farms International Inc Consumer Defensive Farm Products 127.50 485 40 5.96x 16.78% 16.92% 240.0M
76 SGRY Surgery Partners Inc Healthcare Medical Care Facilities 129.00 341 140 9.91x 10.09% 41.54% 2.09B
77 STRT Strattec Security Corporation Consumer Cyclical Auto Parts 129.00 444 78 7.77x 12.88% 22.18% 344.2M
78 WFRD Weatherford International plc Energy Oil & Gas Equipment & Services 131.50 392 117 9.30x 10.75% 31.41% 5.79B
79 KEQU Kewaunee Scientific Corporation Consumer Cyclical Furnishings, Fixtures & Appliances 131.50 461 69 7.39x 13.54% 20.13% 109.3M
80 GASS StealthGas Inc Industrials Marine Shipping 131.50 567 6 3.28x 30.53% 10.28% 317.2M
81 PLUS ePlus inc Technology Software - Application 132.50 312 172 11.00x 9.09% 53.36% 2.36B
82 TYGO Tigo Energy Inc. Technology Solar 134.00 341 150 10.29x 9.72% 43.62% 129.0M
83 WEYS Weyco Group Inc Consumer Cyclical Footwear & Accessories 134.50 408 110 8.96x 11.16% 29.14% 373.7M
84 GCT GigaCloud Technology Inc Class A Ordinary Shares Technology Software - Infrastructure 135.00 412 108 8.92x 11.21% 28.48% 1.42B
85 GMHS Gamehaus Holdings Inc. Class A Ordinary Shares Communication Services Electronic Gaming & Multimedia 136.00 405 114 9.13x 10.95% 29.67% 51.0M
86 GCL GCL Global Holdings Ltd Ordinary Shares Communication Services Electronic Gaming & Multimedia 136.00 420 105 8.82x 11.34% 27.08% 53.0M
87 FIZZ National Beverage Corp Consumer Defensive Beverages - Non-Alcoholic 136.50 295 187 11.38x 8.79% 63.63% 2.91B
88 ONDS Ondas Holdings Inc. Technology Communication Equipment 137.50 321 174 11.01x 9.08% 52.33% 3.72B
89 ESPR Esperion Therapeutics Inc Healthcare Drug Manufacturers - Specialty & Generic 138.00 228 214 12.09x 8.27% 124.61% 819.5M
90 FISV Fiserv, Inc. Common Stock Technology Software 139.50 262 203 11.83x 8.45% 90.09% 27.00B
91 CHTR Charter Communications Inc Communication Services Telecom Services 139.50 400 126 9.44x 10.59% 31.58% 18.55B
92 MATW Matthews International Corporation Industrials Conglomerates 141.50 378 142 9.97x 10.03% 35.37% 856.8M
93 ITRN Ituran Location and Control Ltd Technology Scientific & Technical Instruments 144.50 236 225 12.47x 8.02% 129.55% 1.10B
94 MPAA Motorcar Parts of America Inc Consumer Cyclical Auto Parts 145.00 506 63 7.20x 13.88% 17.01% 264.9M
95 AVAH Aveanna Healthcare Holdings Inc Healthcare Medical Care Facilities 146.00 248 224 12.46x 8.02% 112.97% 2.11B
96 TBLA Taboola Communication Services Internet Content & Information 146.00 253 221 12.31x 8.12% 107.37% 1.44B
97 SFD Smithfield Foods, Inc. Common Stock Consumer Defensive Packaged Foods 146.50 460 101 8.68x 11.52% 22.67% 10.14B
98 GIII G-III Apparel Group Ltd Consumer Cyclical Apparel Manufacturing 147.00 492 72 7.48x 13.37% 18.55% 1.49B
99 CHCI Comstock Holding Companies Inc Real Estate Real Estate Services 149.00 339 182 11.18x 8.94% 51.01% 161.6M
100 NCSM NCS Multistage Holdings Inc Energy Oil & Gas Equipment & Services 151.00 517 68 7.32x 13.67% 16.44% 114.4M
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