Screener

Total Stocks: 8367

Company Name 5yr Revenue Growth 5yr Net Profit Growth 1yr Revenue Growth 1yr Net Profit Growth
Nutex Health, Inc. 19,598.82 N/A 16.07 N/A
Atlanticus Holdings Corp 3,269.48 3,086.87 N/A N/A
Atlanticus Holdings Corp 3,269.48 3,086.87 N/A N/A
Atlanticus Holdings Corp 3,269.48 3,086.87 N/A N/A
Atlanticus Holdings Corp 3,269.48 3,086.87 N/A N/A
GENETIC TECHNOLOGIES LTD 2,790.09 29.53 27.83 16,215.40
Earth Science Tech, Inc. 555.39 4,404.02 -31.73 52.95
AC Partners, Inc. 114.32 N/A N/A N/A
Tap Resources, Inc. Common Stock 33.33 N/A -50.00 N/A
SEMPRA 26.26 -8.36 13.08 -71.73
SEMPRA 26.26 -8.36 13.08 -71.73
HORACE MANN EDUCATORS CORP /DE/ 21.29 42.61 -8.39 -27.72
GRAYSTONE COMPANY, INC. 18.12 N/A N/A N/A
Bank of New York Mellon Corp 5.37 -53.77 N/A N/A
DEEPSPATIAL INC COM (Canada) -30.56 N/A N/A N/A
Spectrum Brands Holdings, Inc. -31.84 -31.88 4.26 -81.06
PROPELLUS INC Common Stock -79.17 N/A N/A N/A
Stemcell Hldgs Inc Common Stock -97.88 N/A N/A N/A
Southern Home Medical, Inc. Common Stock -99.73 N/A N/A N/A
ASSOCIATED BANC-CORP -100.00 87.24 N/A N/A
ASSOCIATED BANC-CORP -100.00 87.24 N/A N/A
ASSOCIATED BANC-CORP -100.00 87.24 N/A N/A
ASSOCIATED BANC-CORP -100.00 87.24 N/A N/A
Adamant DRI Processing and Minerals Group Common Stock -100.00 N/A N/A N/A
APOGEE 21 HLDGS INC Common Stock -100.00 N/A N/A N/A
Bourque Industries, Inc. Common Stock -100.00 N/A N/A N/A
Complete Financial Solutions, Inc. Common Stock -100.00 N/A N/A N/A
Foodfest International 2000, Inc. Common Stock -100.00 N/A N/A N/A
New Green Hemp, Inc. Common Stock -100.00 N/A -100.00 N/A
Sunset Capital Assets, Inc. Common Stock -100.00 N/A -100.00 N/A
Day Tradexchange, Inc. Common Stock -100.00 N/A N/A N/A
Apple Inc. N/A N/A -7.73 -12.60
MICROSOFT CORP N/A N/A -8.83 37.77
NVIDIA CORP N/A N/A 37.92 171.34
Alphabet Inc. N/A N/A 20.38 19.15
AMAZON COM INC N/A N/A 27.08 297.82
Meta Platforms, Inc. N/A N/A 54.16 177.03
BERKSHIRE HATHAWAY INC N/A N/A 6.06 9.76
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD N/A N/A 5.53 5.24
Tesla, Inc. N/A N/A 73.01 N/A
ELI LILLY & Co N/A N/A 6.33 13.67
Broadcom Inc. N/A N/A 232.79 -78.40
Walmart Inc. N/A N/A 0.78 -5.22
Sony Group Corp N/A N/A -1.34 106.24
VISA INC. N/A N/A 92.34 -5.33
UNITEDHEALTH GROUP INC N/A N/A 17.65 31.66
EXXON MOBIL CORP N/A N/A -15.75 -49.40
ORACLE CORP N/A N/A -3.08 -8.62
Mastercard Inc N/A N/A 11.47 6.59
HOME DEPOT, INC. N/A N/A 6.86 13.97
PROCTER & GAMBLE Co N/A N/A -14.39 48.43
COSTCO WHOLESALE CORP /NEW N/A N/A 2.56 -0.29
JOHNSON & JOHNSON N/A N/A 2.59 7.34
AbbVie Inc. N/A N/A 12.16 15.73
ASML HOLDING NV N/A N/A 8.46 27.28
COCA COLA CO N/A N/A 17.09 27.97
BANK OF AMERICA CORP /DE/ N/A N/A -42.31 12.70
NETFLIX INC N/A N/A 30.26 52.22
Merck & Co., Inc. N/A N/A 0.78 -11.62
Alibaba Group Holding Ltd N/A N/A 27.60 155.38
CHEVRON CORP N/A N/A -15.17 -10.76
SAP SE N/A N/A -12.40 2.26
Salesforce, Inc. N/A N/A 25.87 -96.42
ADVANCED MICRO DEVICES INC N/A N/A 7.04 N/A
ASTRAZENECA PLC N/A N/A 18.53 251.07
TOYOTA MOTOR CORP/ N/A N/A 4.29 -26.11
T-Mobile US, Inc. N/A N/A 16.19 99.45
THERMO FISHER SCIENTIFIC INC. N/A N/A 7.71 2.35
PEPSICO INC N/A N/A -0.41 102.98
NOVARTIS AG N/A N/A -97.73 -6.95
LINDE PLC N/A N/A 89.45 -45.95
ADOBE INC. N/A N/A 22.08 85.65
Accenture plc N/A N/A 5.72 32.86
MCDONALDS CORP N/A N/A -3.11 3.47
CISCO SYSTEMS, INC. N/A N/A 0.17 19.57
Shell plc N/A N/A 127,262,588.45 N/A
GENERAL ELECTRIC CO N/A N/A -47.92 -98.29
INTERNATIONAL BUSINESS MACHINES CORP N/A N/A -10.09 -9.99
PDD Holdings Inc. N/A N/A -44.03 1,643,501.97
DANAHER CORP /DE/ N/A N/A 8.57 37.82
ABBOTT LABORATORIES N/A N/A 2.20 -68.35
AMERICAN EXPRESS CO N/A N/A -2.04 4.75
CATERPILLAR INC N/A N/A -18.03 0.00
VERIZON COMMUNICATIONS INC N/A N/A -4.29 -14.39
Philip Morris International Inc. N/A N/A 1.41 3.10
Blackstone Inc. N/A N/A 10.31 38.50
QUALCOMM INC/DE N/A N/A -6.83 12.66
TEXAS INSTRUMENTS INC N/A N/A 2.85 20.60
ServiceNow, Inc. N/A N/A 38.29 N/A
MEXICAN ECONOMIC DEVELOPMENT INC N/A N/A 2.02 -28.17
ROYAL BANK OF CANADA N/A N/A 8.05 -7.82
NEXTERA ENERGY INC N/A N/A -7.61 12.31
INTUITIVE SURGICAL INC N/A N/A 13.42 25.08
AMGEN INC N/A N/A 6.14 11.41
Walt Disney Co N/A N/A -6.01 0.00
INTUIT INC. N/A N/A 11.98 168.22
MORGAN STANLEY N/A N/A 3.27 -9.22
RTX Corp N/A N/A 2.04 -31.89
APPLIED MATERIALS INC /DE N/A N/A 12.07 24.98
COMCAST CORP N/A N/A 182.49 11.62