| 201 |
Huntington Ingalls Industries Inc
HII · US
|
$13B |
77/100
Strong
|
26.5%low 11.8% |
10 yr+ |
0.5× |
16% |
Huntington Ingalls Industries: A Deep Value Investment StudyMay 30, 2026 · Watch |
FY2025 |
| 202 |
Five Below Inc
FIVE · US
|
$12B |
77/100
Strong
|
19.9%low 14.0% |
10 yr+ |
0.5× |
35% |
— |
FY2026 |
| 203 |
Pentair PLC
PNR · US
|
$11B |
77/100
Strong
|
17.4%low 12.3% |
10 yr+ |
0.4× |
36% |
Pentair plc In-Depth Value Investment ResearchMay 31, 2026 · Watch |
FY2025 |
| 204 |
Xp Inc
XP · US
|
$8.8B |
77/100
Strong
|
22.6%low 14.7% |
10 yr+ |
3.2× |
67% |
— |
FY2025 |
| 205 |
ExlService Holdings Inc
EXLS · US
|
$5.2B |
77/100
Strong
|
15.6%low 8.2% |
10 yr+ |
0.1× |
36% |
— |
FY2025 |
| 206 |
ePlus inc
PLUS · US
|
$2.4B |
77/100
Strong
|
13.9%low 11.0% |
10 yr+ |
Net cash |
24% |
— |
FY2026 |
| 207 |
Evertec Inc
EVTC · US
|
$1.9B |
77/100
Strong
|
35.4%low 13.4% |
10 yr+ |
1.3× |
54% |
— |
FY2025 |
| 208 |
Philip Morris International Inc
PM · US
|
$297B |
76/100
Strong
|
49.2%‡low 24.0% |
10 yr+ |
— |
60% |
Philip Morris International: In-Depth Value Investment ResearchMay 25, 2026 · Watch |
FY2025 |
| 209 |
Verizon Communications Inc
VZ · US
|
$195B |
76/100
Strong
|
30.2%low 12.6% |
10 yr+ |
1.7× |
46% |
— |
FY2025 |
| 210 |
Lockheed Martin Corporation
LMT · US
|
$134B |
76/100
Strong
|
59.7%low 57.6% |
10 yr+ |
2.6× |
12% |
Lockheed Martin: Backlog Rose 36.8 Billion Dollars in Six Months, Mostly on a Single THAAD Action, While 19.2 Times Guided Earnings Leaves No Margin of SafetyAug 3, 2026 · Hold |
FY2025 |
| 211 |
Simon Property Group Inc
SPG · US
|
$88B |
76/100
Strong
|
53.0%low 30.4% |
10 yr+ |
5.4× |
82% |
Simon Property Group: A Long-Term Owner's PerspectiveMay 26, 2026 · Hold |
FY2025 |
| 212 |
West Pharmaceutical Services Inc
WST · US
|
$24B |
76/100
Strong
|
17.5%low 9.0% |
10 yr+ |
Net cash |
36% |
West Pharmaceutical Services In-Depth Value Research ReportMay 29, 2026 · Watch |
FY2025 |
| 213 |
Packaging Corp of America
PKG · US
|
$22B |
76/100
Strong
|
21.9%low 14.2% |
10 yr+ |
0.8× |
23% |
Packaging Corporation of America Deep Value Investment AnalysisMay 29, 2026 · Watch |
FY2025 |
| 214 |
CH Robinson Worldwide Inc
CHRW · US
|
$17B |
76/100
Strong
|
36.3%low 22.9% |
10 yr+ |
0.8× |
8% |
C.H. Robinson: A Long-Term Value Investing AnalysisMay 24, 2026 · Watch |
FY2025 |
| 215 |
Tempur Sealy International Inc
TPX · US
|
$12B |
76/100
Strong
|
52.1%low 25.3% |
10 yr+ |
9.9× |
43% |
— |
FY2024 |
| 216 |
The Clorox Company
CLX · US
|
$12B |
76/100
Strong
|
57.5%low 38.4% |
10 yr+ |
59.7× |
43% |
— |
FY2026 |
| 217 |
Trade Desk Inc
TTD · US
|
$8.5B |
76/100
Strong
|
14.8%low 2.5% |
10 yr+ |
Net cash |
79% |
The Trade Desk: A Long-Term Owner's Deep-DiveMay 31, 2026 · Watch |
FY2025 |
| 218 |
Booz Allen Hamilton Holding
BAH · US
|
$8.4B |
76/100
Strong
|
52.2%low 27.4% |
10 yr+ |
3.1× |
51% |
Booz Allen Hamilton: The 130 Basis Point Margin Jump and the 39.48 Billion Dollar Backlog Are Both Smaller Than They Look, and 69.72 Dollars Sits Above Conservative ValueAug 1, 2026 · Hold |
FY2026 |
| 219 |
Hamilton Lane Inc
HLNE · US
|
$6.0B |
76/100
Strong
|
25.3%low 0.7% |
10 yr+ |
Net cash |
67% |
— |
FY2026 |
| 220 |
Fortune Brands Innovations Inc.
FBIN · US
|
$5.9B |
76/100
Strong
|
19.9%low 12.5% |
10 yr+ |
1.0× |
40% |
— |
FY2025 |
| 221 |
Atmus Filtration Technologies Inc.
ATMU · US
|
$4.2B |
76/100
Strong
|
47.2%low 31.9% |
7 yr |
0.9× |
26% |
— |
FY2025 |
| 222 |
TriNet Group Inc
TNET · US
|
$3.0B |
76/100
Strong
|
52.5%low 38.4% |
10 yr+ |
12.1× |
19% |
— |
FY2025 |
| 223 |
ODDITY Tech Ltd. Class A Ordinary Shares
ODD · US
|
$654M |
76/100
Strong
|
24.9%low 20.3% |
6 yr |
0.5× |
70% |
— |
FY2025 |
| 224 |
McDonald’s Corporation
MCD · US
|
$192B |
75/100
Strong
|
27.7%‡low 18.3% |
10 yr+ |
— |
52% |
McDonald's: A Long-Term Owner's PerspectiveMay 25, 2026 · Watch |
FY2025 |
| 225 |
S&P Global Inc
SPGI · US
|
$121B |
75/100
Strong
|
40.3%low 7.7% |
10 yr+ |
0.4× |
73% |
S&P Global: A Long-Term Owner's ViewMay 25, 2026 · Watch |
FY2025 |
| 226 |
HCA Healthcare, Inc.
HCA · US
|
$89B |
75/100
Strong
|
24.5%‡low 20.5% |
10 yr+ |
— |
62% |
HCA Healthcare: A Long-Term Owner's ViewMay 26, 2026 · Watch |
FY2025 |
| 227 |
CDW Corp
CDW · US
|
$19B |
75/100
Strong
|
53.5%low 40.7% |
10 yr+ |
2.2× |
19% |
CDW Long-Term Value Investment AnalysisMay 24, 2026 · Watch |
FY2025 |
| 228 |
Medpace Holdings Inc
MEDP · US
|
$16B |
75/100
Strong
|
29.3%low 2.2% |
10 yr+ |
Net cash |
32% |
Medpace Holdings Zen Horizon Framework Deep-Dive ResearchJun 6, 2026 · Watch |
FY2025 |
| 229 |
Penske Automotive Group Inc
PAG · US
|
$14B |
75/100
Strong
|
21.7%low 15.6% |
10 yr+ |
1.6× |
16% |
— |
FY2025 |
| 230 |
Nice Ltd ADR
NICE · US
|
$5.8B |
75/100
Strong
|
9.4%low 7.1% |
10 yr+ |
Net cash |
67% |
NICE Ltd: A Good Software Business Still Waiting for Proof That AI Adds More Than It SubstitutesJul 22, 2026 · Watch |
FY2025 |
| 231 |
Franklin Electric Co Inc
FELE · US
|
$4.6B |
75/100
Strong
|
13.7%low 11.1% |
10 yr+ |
0.1× |
34% |
— |
FY2025 |
| 232 |
Dlocal Ltd
DLO · US
|
$4.4B |
75/100
Strong
|
38.1%low 24.6% |
7 yr |
Net cash |
49% |
— |
FY2025 |
| 233 |
Kadant Inc
KAI · US
|
$3.6B |
75/100
Strong
|
13.2%low 9.4% |
10 yr+ |
0.3× |
44% |
— |
FY2025 |
| 234 |
Columbia Sportswear Company
COLM · US
|
$3.0B |
75/100
Strong
|
12.8%low 5.9% |
10 yr+ |
Net cash |
49% |
— |
FY2025 |
| 235 |
Vector Group Ltd
VGR · US
|
$2.4B |
75/100
Strong
|
57.5%‡low 39.3% |
10 yr+ |
— |
33% |
— |
FY2023 |
| 236 |
Xpel Inc
XPEL · US
|
$1.2B |
75/100
Strong
|
28.4%low 7.5% |
10 yr+ |
Net cash |
35% |
— |
FY2025 |
| 237 |
Netflix Inc
NFLX · US
|
$299B |
74/100
Strong
|
25.2%low 7.0% |
10 yr+ |
0.2× |
40% |
Netflix: A Long-Term Business Owner's PerspectiveMay 22, 2026 · Watch |
FY2025 |
| 238 |
Southern Copper Corporation
SCCO · US
|
$146B |
74/100
Strong
|
27.5%low 11.8% |
10 yr+ |
0.2× |
45% |
— |
FY2025 |
| 239 |
Cummins Inc
CMI · US
|
$88B |
74/100
Strong
|
23.4%low 8.3% |
10 yr+ |
0.4× |
25% |
Cummins Long-Term Value Investment AnalysisMay 24, 2026 · Watch |
FY2025 |
| 240 |
Honeywell International Inc
HON · US
|
$77B |
74/100
Strong
|
28.8%low 9.4% |
10 yr+ |
1.4× |
34% |
Honeywell International: A Value-Investing Deep DiveMay 22, 2026 · Watch |
FY2025 |
| 241 |
LPL Financial Holdings Inc
LPLA · US
|
$28B |
74/100
Strong
|
35.4%low 16.1% |
10 yr+ |
1.1× |
26% |
— |
FY2025 |
| 242 |
Quest Diagnostics Incorporated
DGX · US
|
$26B |
74/100
Strong
|
16.7%low 12.9% |
10 yr+ |
0.9× |
36% |
Quest Diagnostics: A Long-Term Business-Owner Investment AnalysisMay 29, 2026 · Watch |
FY2025 |
| 243 |
Fox Corp Class A
FOXA · US
|
$24B |
74/100
Strong
|
15.3%low 6.9% |
10 yr+ |
0.2× |
93% |
Fox Corporation: A Deep Value Investing AnalysisMay 29, 2026 · Watch |
FY2025 |
| 244 |
Tractor Supply Company
TSCO · US
|
$16B |
74/100
Strong
|
41.4%low 29.8% |
10 yr+ |
2.2× |
35% |
Tractor Supply Deep Value Investment ResearchMay 30, 2026 · Watch |
FY2025 |
| 245 |
BWX Technologies Inc
BWXT · US
|
$15B |
74/100
Strong
|
43.6%low 26.1% |
10 yr+ |
1.2× |
27% |
BWX Technologies (BWXT) Zen Horizon Research ReportJun 5, 2026 · Watch |
FY2025 |
| 246 |
BJs Wholesale Club Holdings Inc
BJ · US
|
$12B |
74/100
Strong
|
43.4%low 26.3% |
10 yr+ |
1.2× |
18% |
— |
FY2026 |
| 247 |
Universal Health Services Inc
UHS · US
|
$10B |
74/100
Strong
|
15.2%low 11.4% |
10 yr+ |
0.7× |
89% |
Universal Health Services Value-Investing Deep-DiveMay 31, 2026 · Cautious Buy |
FY2025 |
| 248 |
Morningstar Inc
MORN · US
|
$7.2B |
74/100
Strong
|
17.5%low 5.8% |
10 yr+ |
0.7× |
59% |
— |
FY2025 |
| 249 |
Campbell’s Co
CPB · US
|
$6.6B |
74/100
Strong
|
29.8%low 14.9% |
10 yr+ |
1.8× |
34% |
The Campbell's Company: A Value-Investing Deep DiveMay 31, 2026 · Watch |
FY2025 |
| 250 |
Reynolds Consumer Products Inc
REYN · US
|
$5.3B |
74/100
Strong
|
16.6%low 13.4% |
10 yr+ |
0.7× |
26% |
— |
FY2025 |
| 251 |
Bread Financial Holdings, Inc.
BFH · US
|
$4.5B |
74/100
Strong
|
24.4%low 9.1% |
10 yr+ |
0.2× |
57% |
— |
FY2025 |
| 252 |
Cavco Industries Inc
CVCO · US
|
$4.2B |
74/100
Strong
|
15.5%low 9.2% |
10 yr+ |
Net cash |
23% |
— |
FY2026 |
| 253 |
Inter Parfums Inc
IPAR · US
|
$4.0B |
74/100
Strong
|
14.9%low 7.1% |
10 yr+ |
Net cash |
63% |
— |
FY2025 |
| 254 |
Mueller Water Products
MWA · US
|
$3.9B |
74/100
Strong
|
14.9%low 10.1% |
10 yr+ |
0.0× |
33% |
— |
FY2025 |
| 255 |
Healthcare Services Group Inc
HCSG · US
|
$1.6B |
74/100
Strong
|
14.5%low 7.9% |
10 yr+ |
Net cash |
13% |
— |
FY2025 |
| 256 |
Diamond Hill Investment Group Inc
DHIL · US
|
$473M |
74/100
Strong
|
28.1%low 21.0% |
10 yr+ |
Net cash |
57% |
— |
FY2025 |
| 257 |
AbbVie Inc
ABBV · US
|
$443B |
73/100
Strong
|
54.6%low 35.2% |
10 yr+ |
— |
71% |
AbbVie: In-Depth Research from a Long-Term Business Owner's PerspectiveMay 21, 2026 · Watch |
FY2025 |
| 258 |
Rio Tinto ADR
RIO · US
|
$156B |
73/100
Strong
|
22.4%low 11.8% |
10 yr+ |
0.2× |
55% |
— |
FY2025 |
| 259 |
Northrop Grumman Corporation
NOC · US
|
$77B |
73/100
Strong
|
31.8%low 13.9% |
10 yr+ |
0.9× |
29% |
Northrop Grumman: A Long-Term Owner's PerspectiveMay 26, 2026 · Watch |
FY2025 |
| 260 |
Teradyne Inc
TER · US
|
$58B |
73/100
Strong
|
23.3%low -2.4% |
9 yr |
0.0× |
58% |
Teradyne Deep Value Investment AnalysisMay 27, 2026 · Watch |
FY2025 |
| 261 |
Ulta Beauty Inc
ULTA · US
|
$22B |
73/100
Strong
|
40.6%low 8.8% |
10 yr+ |
0.6× |
37% |
Ulta Beauty: A Long-Term Value Investing StudyMay 29, 2026 · Watch |
FY2026 |
| 262 |
Dick’s Sporting Goods Inc
DKS · US
|
$18B |
73/100
Strong
|
28.1%low 14.9% |
10 yr+ |
1.2× |
33% |
— |
FY2026 |
| 263 |
Fabrinet
FN · US
|
$16B |
73/100
Strong
|
14.2%low 11.2% |
10 yr+ |
Net cash |
12% |
Fabrinet Zen Horizon Framework Deep-Dive ResearchJun 8, 2026 · Watch |
FY2025 |
| 264 |
Equity Lifestyle Properties Inc
ELS · US
|
$13B |
73/100
Strong
|
19.5%low 16.0% |
10 yr+ |
1.9× |
46% |
— |
FY2025 |
| 265 |
Applied Industrial Technologies
AIT · US
|
$13B |
73/100
Strong
|
16.5%low 2.9% |
10 yr+ |
0.1× |
29% |
— |
FY2025 |
| 266 |
Service Corporation International
SCI · US
|
$12B |
73/100
Strong
|
30.7%low 16.2% |
10 yr+ |
3.0× |
26% |
— |
FY2025 |
| 267 |
Encompass Health Corp
EHC · US
|
$11B |
73/100
Strong
|
23.2%low 17.9% |
10 yr+ |
1.1× |
74% |
— |
FY2025 |
| 268 |
Silicon Motion Technology
SIMO · US
|
$8.6B |
73/100
Strong
|
17.3%low 7.2% |
10 yr+ |
Net cash |
48% |
— |
FY2025 |
| 269 |
Federal Signal Corporation
FSS · US
|
$7.6B |
73/100
Strong
|
15.2%low 11.1% |
10 yr+ |
0.4× |
26% |
— |
FY2025 |
| 270 |
Garrett Motion Inc
GTX · US
|
$5.8B |
73/100
Strong
|
60.0%‡low 60.0% |
8 yr |
— |
25% |
— |
FY2025 |
| 271 |
EPAM Systems Inc
EPAM · US
|
$5.5B |
73/100
Strong
|
14.0%low 7.5% |
10 yr+ |
Net cash |
33% |
EPAM Systems: A Value Investing Deep DiveMay 31, 2026 · Cautious Buy |
FY2025 |
| 272 |
M/I Homes Inc
MHO · US
|
$3.8B |
73/100
Strong
|
16.1%low 8.7% |
10 yr+ |
0.1× |
23% |
— |
FY2025 |
| 273 |
Teradata Corp
TDC · US
|
$2.9B |
73/100
Strong
|
23.9%low -10.0% |
6 yr |
0.3× |
55% |
— |
FY2025 |
| 274 |
IDT Corporation
IDT · US
|
$1.6B |
73/100
Strong
|
21.3%low 0.6% |
10 yr+ |
Net cash |
23% |
— |
FY2025 |
| 275 |
InMode Ltd
INMD · US
|
$870M |
73/100
Strong
|
29.9%low 3.8% |
10 yr+ |
Net cash |
83% |
— |
FY2025 |
| 276 |
CSX Corporation
CSX · US
|
$93B |
72/100
Strong
|
26.8%low 14.6% |
10 yr+ |
1.4× |
38% |
CSX Corporation: A Deep-Dive Value Investing StudyMay 22, 2026 · Watch |
FY2025 |
| 277 |
Waste Management Inc
WM · US
|
$91B |
72/100
Strong
|
28.1%low 20.1% |
10 yr+ |
2.3× |
28% |
WM: A Long-Term Owner's PerspectiveMay 26, 2026 · Watch |
FY2025 |
| 278 |
Ross Stores Inc
ROST · US
|
$81B |
72/100
Strong
|
37.4%low 2.6% |
10 yr+ |
0.1× |
27% |
Ross Stores: A Long-Term Owner's PerspectiveMay 23, 2026 · Watch |
FY2026 |
| 279 |
KDDI Corp PK
KDDIY · US
|
$65B |
72/100
Strong
|
14.1%low 12.1% |
10 yr+ |
0.8× |
44% |
KDDI From a Long-Term Owner's PerspectiveJun 3, 2026 · Watch |
FY2026 |
| 280 |
Keysight Technologies Inc
KEYS · US
|
$55B |
72/100
Strong
|
17.3%low 4.4% |
10 yr+ |
0.2× |
60% |
Keysight Technologies Investment Value Deep-DiveMay 27, 2026 · Watch |
FY2025 |
| 281 |
Autodesk Inc
ADSK · US
|
$49B |
72/100
Strong
|
32.5%low -79.0% |
7 yr |
0.0× |
89% |
Autodesk: A Deep Value Investment AnalysisMay 21, 2026 · Watch |
FY2026 |
| 282 |
CBRE Group Inc Class A
CBRE · US
|
$43B |
72/100
Strong
|
16.5%low 10.6% |
10 yr+ |
0.9× |
21% |
CBRE Group: An In-Depth Value Investing AnalysisMay 24, 2026 · Watch |
FY2025 |
| 283 |
JB Hunt Transport Services Inc
JBHT · US
|
$26B |
72/100
Strong
|
23.3%low 14.2% |
10 yr+ |
0.5× |
16% |
J.B. Hunt Deep Value Investment ResearchMay 29, 2026 · Watch |
FY2025 |
| 284 |
ITT Inc
ITT · US
|
$18B |
72/100
Strong
|
13.5%low 3.4% |
10 yr+ |
Net cash |
33% |
— |
FY2025 |
| 285 |
Mueller Industries Inc
MLI · US
|
$15B |
72/100
Strong
|
23.4%low 11.1% |
10 yr+ |
Net cash |
21% |
— |
FY2025 |
| 286 |
Nova Ltd
NVMI · US
|
$12B |
72/100
Strong
|
17.1%low 5.5% |
10 yr+ |
Net cash |
56% |
— |
FY2025 |
| 287 |
Balchem Corporation
BCPC · US
|
$5.4B |
72/100
Strong
|
11.4%low 10.2% |
10 yr+ |
0.1× |
32% |
— |
FY2025 |
| 288 |
Kontoor Brands Inc
KTB · US
|
$4.6B |
72/100
Strong
|
47.1%low 8.6% |
10 yr+ |
2.1× |
42% |
— |
FY2025 |
| 289 |
FTI Consulting Inc
FCN · US
|
$4.4B |
72/100
Strong
|
12.8%low 7.1% |
10 yr+ |
0.2× |
33% |
— |
FY2025 |
| 290 |
Dorman Products Inc
DORM · US
|
$4.0B |
72/100
Strong
|
14.1%low 10.8% |
10 yr+ |
0.4× |
37% |
— |
FY2025 |
| 291 |
Vita Coco Company Inc
COCO · US
|
$3.8B |
72/100
Strong
|
18.8%low 5.5% |
7 yr |
Net cash |
33% |
— |
FY2025 |
| 292 |
Wingstop Inc
WING · US
|
$3.5B |
72/100
Strong
|
52.4%‡low 36.4% |
10 yr+ |
— |
55% |
— |
FY2025 |
| 293 |
Maximus Inc
MMS · US
|
$3.2B |
72/100
Strong
|
18.1%low 9.7% |
10 yr+ |
0.7× |
22% |
— |
FY2025 |
| 294 |
Alarm.com Holdings Inc
ALRM · US
|
$2.7B |
72/100
Strong
|
12.0%low 5.3% |
10 yr+ |
0.2× |
63% |
— |
FY2025 |
| 295 |
Global Industrial Co
GIC · US
|
$1.4B |
72/100
Strong
|
32.1%low -15.2% |
9 yr |
0.1× |
33% |
— |
FY2025 |
| 296 |
Merck & Company Inc
MRK · US
|
$307B |
71/100
Strong
|
24.4%low 1.0% |
10 yr+ |
0.7× |
70% |
Merck & Co.: KEYTRUDA and QLEX Generated 50.4% of Second-Quarter Revenue While Subcutaneous Sales Rose to 463 Million Dollars Before the 2028 Patent CliffAug 5, 2026 · Hold |
FY2025 |
| 297 |
International Business Machines
IBM · US
|
$211B |
71/100
Strong
|
34.1%low 7.5% |
10 yr+ |
1.6× |
52% |
IBM Long-Term Owner's Perspective ResearchMay 25, 2026 · Watch |
FY2025 |
| 298 |
Abbott Laboratories
ABT · US
|
$183B |
71/100
Strong
|
13.6%low 1.5% |
10 yr+ |
0.1× |
52% |
Abbott Laboratories Long-Term Value Investment ResearchMay 21, 2026 · Watch |
FY2025 |
| 299 |
Blackstone Group Inc
BX · US
|
$159B |
71/100
Strong
|
27.9%low 15.7% |
10 yr+ |
1.2× |
96% |
Blackstone: A Deep Value Investment AnalysisMay 24, 2026 · Watch |
FY2025 |
| 300 |
CME Group Inc
CME · US
|
$96B |
71/100
Strong
|
10.8%low 7.5% |
10 yr+ |
Net cash |
84% |
CME Group Long-Term Value Investment AnalysisMay 24, 2026 · Watch |
FY2025 |