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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NYSE Jul 19, 2026 Sharemaestro Composite Financials excluded 940 results
# Ticker Company Sector Industry Score SQF SVF EV/EBIT EY ROC Mkt Cap
651 Q Qnity Electronics, Inc Technology Semiconductor Equipment & Materials 696.50 1020 849 30.18x 3.31% 46.55% 28.54B
652 ECL Ecolab Inc Basic Materials Specialty Chemicals 698.00 1027 847 30.05x 3.33% 44.90% 76.78B
653 LBRT Liberty Energy Inc. Energy Oil & Gas Equipment & Services 698.00 1435 612 20.26x 4.94% 8.30% 3.89B
654 KNF Knife River Corporation Basic Materials Building Materials 700.00 1385 642 21.11x 4.74% 10.41% 4.64B
655 PKG Packaging Corp of America Consumer Cyclical Packaging & Containers 700.50 1300 692 22.14x 4.52% 15.35% 20.77B
656 TU Telus Corp Communication Services Telecom Services 700.50 1355 656 21.43x 4.67% 12.34% 16.24B
657 DBI Designer Brands Inc Consumer Cyclical Footwear & Accessories 701.50 1482 597 19.86x 5.04% 6.39% 290.4M
658 CMG Chipotle Mexican Grill Inc Consumer Cyclical Restaurants 702.50 1153 779 25.70x 3.89% 26.05% 44.18B
659 RITM Rithm Capital Corp. Real Estate Reit - Mortgage 703.00 1138 789 26.12x 3.83% 28.37% 5.20B
660 CR Crane Company Industrials Specialty Industrial Machinery 704.00 1035 851 30.32x 3.30% 44.44% 12.56B
661 SOBO South Bow Corporation Energy Oil & Gas Midstream 704.50 1456 618 20.43x 4.89% 7.74% 7.89B
662 ITT ITT Inc Industrials Specialty Industrial Machinery 705.00 1060 836 29.55x 3.38% 38.60% 17.30B
663 BNED Barnes & Noble Education Inc Consumer Cyclical Specialty Retail 705.00 1463 614 20.32x 4.92% 7.30% 436.5M
664 INSP Inspire Medical Systems Inc Healthcare Medical Devices 708.00 1358 670 21.67x 4.61% 12.70% 1.46B
665 AS Amer Sports, Inc. Consumer Cyclical Leisure 712.00 1125 815 28.03x 3.57% 31.59% 21.20B
666 HHH Howard Hughes Holdings Inc. Real Estate Real Estate - Development 712.00 1235 762 24.80x 4.03% 20.90% 4.19B
667 RACE Ferrari NV Consumer Cyclical Auto Manufacturers 713.50 1035 870 32.03x 3.12% 47.74% 66.28B
668 HAE Haemonetics Corporation Healthcare Medical Devices 715.50 1159 799 26.81x 3.73% 27.28% 3.54B
669 AWR American States Water Company Utilities Utilities - Regulated Water 718.00 1455 646 21.21x 4.71% 8.58% 3.50B
670 ETN Eaton Corporation PLC Industrials Specialty Industrial Machinery 719.00 1025 890 34.07x 2.94% 53.39% 155.32B
671 INN Summit Hotel Properties Inc Real Estate Reit - Hotel & Motel 720.00 1543 589 19.71x 5.07% 4.46% 721.7M
672 OXY Occidental Petroleum Corporation Energy Oil & Gas E&P 721.50 1522 613 20.29x 4.93% 5.94% 54.57B
673 TRGP Targa Resources Inc Energy Oil & Gas Midstream 722.50 1318 727 23.49x 4.26% 15.89% 60.72B
674 ITGR Integer Holdings Corp Healthcare Medical Devices 722.50 1322 725 23.45x 4.26% 15.82% 3.24B
675 CMBT CMB.TECH NV Energy Oil & Gas Midstream 725.00 1499 634 20.83x 4.80% 6.75% 4.34B
676 CMS CMS Energy Corporation Utilities Utilities - Regulated Electric 725.00 1512 628 20.60x 4.85% 6.42% 22.75B
677 CSW CSW Industrials, Inc. Industrials Specialty Industrial Machinery 725.50 1122 844 29.92x 3.34% 34.23% 4.55B
678 FET Forum Energy Technologies Inc Energy Oil & Gas Equipment & Services 726.00 1422 676 21.76x 4.60% 10.37% 592.8M
679 HVT-A Haverty Furniture Companies Inc Consumer Cyclical Home Improvement Retail 727.50 1501 638 20.91x 4.78% 6.83% 470.8M
680 XHR Xenia Hotels & Resorts Inc Real Estate Reit - Hotel & Motel 727.50 1522 625 20.51x 4.87% 6.21% 1.94B
681 AES The AES Corporation Utilities Utilities - Diversified 729.00 1534 615 20.36x 4.91% 5.71% 10.53B
682 GBX Greenbrier Companies Inc Industrials Railroads 729.50 1554 602 20.07x 4.98% 4.60% 1.55B
683 BBUC Brookfield Business Corp Industrials Conglomerates 731.00 1300 753 24.37x 4.10% 17.76% 6.45B
684 SWK Stanley Black & Decker Inc Industrials Tools & Accessories 732.00 1271 777 25.58x 3.91% 19.68% 14.02B
685 NOV NOV Inc. Energy Oil & Gas Equipment & Services 732.00 1488 655 21.38x 4.68% 8.00% 7.01B
686 AEE Ameren Corp Utilities Utilities - Regulated Electric 732.50 1528 629 20.61x 4.85% 6.20% 30.87B
687 CVX Chevron Corp Energy Oil & Gas Integrated 733.00 1471 666 21.53x 4.64% 8.74% 373.19B
688 NSC Norfolk Southern Corporation Industrials Railroads 735.00 1410 699 22.36x 4.47% 11.64% 76.40B
689 DTM DT Midstream Inc Energy Oil & Gas Midstream 735.50 1378 716 23.19x 4.31% 13.55% 14.80B
690 TKR Timken Company Industrials Tools & Accessories 736.50 1333 744 24.07x 4.16% 15.94% 9.57B
691 JBTM JBTMarel Corp Industrials Specialty Industrial Machinery 738.00 1170 840 29.66x 3.37% 29.61% 6.98B
692 THR Thermon Group Holdings Inc Industrials Specialty Industrial Machinery 738.00 1198 833 29.21x 3.42% 26.96% 2.01B
693 RMAX Re Max Holding Real Estate Real Estate Services 739.00 1210 827 29.05x 3.44% 25.83% 236.6M
694 HLIO Helios Technologies Inc Industrials Specialty Industrial Machinery 739.00 1245 809 27.74x 3.61% 23.07% 2.68B
695 KRG Kite Realty Group Trust Real Estate Reit - Retail 739.50 1503 661 21.52x 4.65% 7.61% 6.01B
696 WM Waste Management Inc Industrials Waste Management 740.00 1260 800 26.84x 3.73% 21.62% 96.10B
697 VMI Valmont Industries Inc Industrials Conglomerates 740.50 1309 767 24.92x 4.01% 17.92% 10.32B
698 IVT Inventrust Properties Corp Real Estate Reit - Retail 741.00 1512 660 21.49x 4.65% 7.13% 2.86B
699 PDS Precision Drilling Corporation Energy Oil & Gas Drilling 741.00 1584 616 20.37x 4.91% 3.60% 1.08B
700 OHI Omega Healthcare Investors Inc Real Estate Reit - Healthcare Facilities 741.50 1450 694 22.18x 4.51% 10.22% 14.95B
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