| 401 |
Urban Outfitters Inc
URBN · US
|
$6.4B |
62/100
Medium
|
13.0%low 0.1% |
10 yr+ |
0.2× |
32% |
— |
FY2026 |
| 402 |
Enova International Inc
ENVA · US
|
$6.3B |
62/100
Medium
|
19.1%low 9.7% |
10 yr+ |
3.4× |
51% |
— |
FY2025 |
| 403 |
Boot Barn Holdings Inc
BOOT · US
|
$4.5B |
62/100
Medium
|
16.9%low 7.9% |
10 yr+ |
0.5× |
35% |
— |
FY2026 |
| 404 |
Silgan Holdings Inc
SLGN · US
|
$4.2B |
62/100
Medium
|
21.0%low 3.4% |
10 yr+ |
1.6× |
15% |
— |
FY2025 |
| 405 |
National HealthCare Corporation
NHC · US
|
$3.5B |
62/100
Medium
|
8.5%low 2.6% |
10 yr+ |
Net cash |
41% |
— |
FY2025 |
| 406 |
Worthington Industries Inc
WOR · US
|
$2.8B |
62/100
Medium
|
20.1%low 9.6% |
10 yr+ |
0.3× |
19% |
— |
FY2026 |
| 407 |
Perficient Inc
PRFT · US
|
$2.7B |
62/100
Medium
|
10.8%low 5.1% |
10 yr+ |
0.5× |
35% |
— |
FY2023 |
| 408 |
LCI Industries
LCII · US
|
$2.5B |
62/100
Medium
|
18.4%low 4.7% |
10 yr+ |
0.7× |
23% |
— |
FY2025 |
| 409 |
Apogee Enterprises Inc
APOG · US
|
$826M |
62/100
Medium
|
13.4%low 0.9% |
10 yr+ |
0.5× |
24% |
— |
FY2026 |
| 410 |
Celestica Inc.
CLS · US
|
$39B |
61/100
Medium
|
12.8%low 4.3% |
10 yr+ |
0.1× |
8% |
Celestica Inc. Deep-Dive ResearchJun 12, 2026 · Hold |
FY2025 |
| 411 |
Advanced Energy Industries Inc
AEIS · US
|
$12B |
61/100
Medium
|
17.0%low 4.5% |
10 yr+ |
Net cash |
42% |
— |
FY2025 |
| 412 |
Flowserve Corporation
FLS · US
|
$9.4B |
61/100
Medium
|
9.5%low 0.2% |
10 yr+ |
0.5× |
31% |
— |
FY2025 |
| 413 |
OneMain Holdings Inc
OMF · US
|
$7.4B |
61/100
Medium
|
17.4%low 5.6% |
10 yr+ |
6.3× |
53% |
— |
FY2025 |
| 414 |
Taylor Morn Home
TMHC · US
|
$6.7B |
61/100
Medium
|
11.3%low 2.4% |
10 yr+ |
0.2× |
21% |
— |
FY2025 |
| 415 |
MYR Group Inc
MYRG · US
|
$5.2B |
61/100
Medium
|
11.7%low 5.0% |
10 yr+ |
Net cash |
11% |
— |
FY2025 |
| 416 |
United States Lime & Minerals Inc
USLM · US
|
$3.2B |
61/100
Medium
|
14.5%low 8.8% |
10 yr+ |
Net cash |
32% |
— |
FY2025 |
| 417 |
Monarch Casino & Resort Inc
MCRI · US
|
$2.2B |
61/100
Medium
|
12.8%low 6.4% |
10 yr+ |
Net cash |
52% |
— |
FY2025 |
| 418 |
Flex Ltd
FLEX · US
|
$42B |
60/100
Medium
|
14.1%low 3.1% |
10 yr+ |
0.4× |
7% |
Flex Ltd: The CPI Spin-Off Is Real, But the Stock Has Already Front-Run the ReratingJul 22, 2026 · Hold |
FY2026 |
| 419 |
Globus Medical
GMED · US
|
$11B |
60/100
Medium
|
9.1%low 2.5% |
10 yr+ |
Net cash |
72% |
— |
FY2025 |
| 420 |
Brinker International Inc
EAT · US
|
$9.2B |
60/100
Medium
|
21.9%‡low 3.4% |
10 yr+ |
4.5× |
16% |
— |
FY2025 |
| 421 |
Lear Corporation
LEA · US
|
$7.3B |
60/100
Medium
|
15.8%low 3.5% |
10 yr+ |
0.6× |
9% |
— |
FY2025 |
| 422 |
PriceSmart Inc
PSMT · US
|
$6.0B |
60/100
Medium
|
10.9%low 9.1% |
10 yr+ |
0.0× |
17% |
— |
FY2025 |
| 423 |
Valvoline Inc
VVV · US
|
$4.9B |
60/100
Medium
|
29.7%‡low 8.8% |
10 yr+ |
4.8× |
38% |
— |
FY2025 |
| 424 |
Crane NXT Co
CXT · US
|
$3.0B |
60/100
Medium
|
15.1%low 9.0% |
10 yr+ |
0.7× |
40% |
— |
FY2025 |
| 425 |
PagSeguro Digital Ltd
PAGS · US
|
$2.7B |
60/100
Medium
|
32.3%low 12.5% |
10 yr+ |
2.6× |
47% |
— |
FY2025 |
| 426 |
PGT Innovations Inc
PGTI · US
|
$2.4B |
60/100
Medium
|
15.6%low 6.2% |
10 yr+ |
1.1× |
34% |
— |
FY2023 |
| 427 |
Lindsay Corporation
LNN · US
|
$1.1B |
60/100
Medium
|
11.0%low 0.8% |
10 yr+ |
Net cash |
29% |
— |
FY2025 |
| 428 |
Criteo Sa
CRTO · US
|
$1.1B |
60/100
Medium
|
8.9%low 0.9% |
10 yr+ |
Net cash |
40% |
— |
FY2025 |
| 429 |
RMR Group Inc
RMR · US
|
$325M |
60/100
Medium
|
24.4%low 7.7% |
10 yr+ |
0.6× |
49% |
— |
FY2025 |
| 430 |
Northern Trust Corporation
NTRS · US
|
$33B |
59/100
Medium
|
10.3%low 0.7% |
10 yr+ |
Net cash |
82% |
Northern Trust: A Study of Custody-Banking and Wealth-Management InfrastructureMay 28, 2026 · Watch |
FY2025 |
| 431 |
Laboratory Corporation of America Holdings
LH · US
|
$25B |
59/100
Medium
|
13.3%low 5.3% |
10 yr+ |
0.8× |
31% |
Labcorp Holdings: A Value-Investing Deep DiveMay 29, 2026 · Watch |
FY2025 |
| 432 |
Ball Corporation
BALL · US
|
$17B |
59/100
Medium
|
20.8%low 7.7% |
10 yr+ |
1.1× |
16% |
— |
FY2025 |
| 433 |
Texas Roadhouse Inc
TXRH · US
|
$14B |
59/100
Medium
|
20.6%low 3.4% |
10 yr+ |
1.2× |
17% |
— |
FY2025 |
| 434 |
Amkor Technology Inc
AMKR · US
|
$12B |
59/100
Medium
|
12.4%low 6.2% |
10 yr+ |
Net cash |
17% |
Amkor (AMKR) Zen Horizon ReportJun 5, 2026 · Watch |
FY2025 |
| 435 |
Smithfield Foods, Inc. Common Stock
SFD · US
|
$10B |
59/100
Medium
|
10.5%low 0.2% |
10 yr+ |
0.1× |
11% |
— |
FY2025 |
| 436 |
Matson Inc
MATX · US
|
$6.1B |
59/100
Medium
|
24.4%low 10.3% |
10 yr+ |
0.2× |
22% |
— |
FY2025 |
| 437 |
Sensient Technologies Corporation
SXT · US
|
$5.3B |
59/100
Medium
|
12.4%low 8.9% |
10 yr+ |
0.6× |
40% |
— |
FY2025 |
| 438 |
Standex International Corporation
SXI · US
|
$3.6B |
59/100
Medium
|
11.0%low 4.4% |
10 yr+ |
0.5× |
37% |
— |
FY2026 |
| 439 |
Carriage Services Inc
CSV · US
|
$599M |
59/100
Medium
|
16.0%low 5.3% |
10 yr+ |
2.2× |
32% |
— |
FY2025 |
| 440 |
CRH PLC ADR
CRH · US
|
$63B |
58/100
Medium
|
12.0%low 5.4% |
10 yr+ |
0.7× |
33% |
CRH plc: An Investment Study Through the Lens of a Long-Term Business OwnerMay 26, 2026 · Cautious Buy |
FY2025 |
| 441 |
Nucor Corp
NUE · US
|
$59B |
58/100
Medium
|
19.8%low 6.7% |
10 yr+ |
0.2× |
17% |
Nucor Corporation Investment Research ReportMay 27, 2026 · Watch |
FY2025 |
| 442 |
Chipotle Mexican Grill Inc
CMG · US
|
$47B |
58/100
Medium
|
26.8%low 1.6% |
10 yr+ |
3.1× |
21% |
Chipotle Mexican Grill: A Long-Term Value Investment AnalysisMay 24, 2026 · Watch |
FY2025 |
| 443 |
Royalty Pharma Plc
RPRX · US
|
$34B |
58/100
Medium
|
16.4%low 0.8% |
10 yr+ |
1.3× |
100% |
— |
FY2025 |
| 444 |
Open Text Corp
OTEX · US
|
$6.1B |
58/100
Medium
|
10.7%low 3.8% |
10 yr+ |
1.4× |
61% |
— |
FY2025 |
| 445 |
UFP Technologies Inc
UFPT · US
|
$2.0B |
58/100
Medium
|
11.9%low 7.0% |
10 yr+ |
0.3× |
26% |
— |
FY2025 |
| 446 |
Standard Motor Products Inc
SMP · US
|
$867M |
58/100
Medium
|
10.5%low 6.0% |
10 yr+ |
1.0× |
29% |
— |
FY2025 |
| 447 |
Nasdaq Inc
NDAQ · US
|
$53B |
57/100
Medium
|
12.2%low 2.0% |
10 yr+ |
0.7× |
40% |
Nasdaq Investment MemoMay 27, 2026 · Watch |
FY2025 |
| 448 |
Iron Mountain Incorporated
IRM · US
|
$36B |
57/100
Medium
|
29.6%low 5.4% |
10 yr+ |
— |
54% |
Iron Mountain Deep Dive: A Hybrid REIT with High Retention, High Leverage, and High Capital SpendingMay 27, 2026 · Watch |
FY2025 |
| 449 |
SS&C Technologies Holdings Inc
SSNC · US
|
$18B |
57/100
Medium
|
9.6%low 2.3% |
10 yr+ |
0.6× |
46% |
SS&C Technologies: A Sticky Cash Engine, Not Yet Cheap EnoughJul 18, 2026 · Hold |
FY2025 |
| 450 |
Stonex Group Inc
SNEX · US
|
$9.3B |
57/100
Medium
|
19.0%low 1.4% |
10 yr+ |
7.1× |
1% |
— |
FY2025 |
| 451 |
BGC Group Inc.
BGC · US
|
$5.4B |
57/100
Medium
|
12.4%low 4.1% |
10 yr+ |
0.9× |
47% |
— |
FY2025 |
| 452 |
Marex Group plc Ordinary Shares
MRX · US
|
$4.6B |
57/100
Medium
|
12.0%low 2.7% |
10 yr+ |
Net cash |
86% |
— |
FY2025 |
| 453 |
Primoris Services Corporation
PRIM · US
|
$4.6B |
57/100
Medium
|
12.2%low 5.4% |
10 yr+ |
0.4× |
11% |
— |
FY2025 |
| 454 |
Oil-Dri Corporation Of America
ODC · US
|
$1.4B |
57/100
Medium
|
11.1%low 3.8% |
10 yr+ |
0.0× |
26% |
— |
FY2025 |
| 455 |
Village Super Market Inc
VLGEA · US
|
$651M |
57/100
Medium
|
8.9%low 5.9% |
10 yr+ |
0.5× |
28% |
— |
FY2025 |
| 456 |
Vulcan Materials Company
VMC · US
|
$35B |
56/100
Medium
|
10.7%low 8.3% |
10 yr+ |
0.6× |
26% |
Vulcan Materials Company: In-Depth Value Investing AnalysisMay 28, 2026 · Watch |
FY2025 |
| 457 |
Jones Lang LaSalle Incorporated
JLL · US
|
$16B |
56/100
Medium
|
9.9%low 3.6% |
10 yr+ |
0.4× |
64% |
— |
FY2025 |
| 458 |
Moog Inc
MOG-A · US
|
$12B |
56/100
Medium
|
10.2%low 0.7% |
10 yr+ |
0.4× |
27% |
Moog Long-Term Owner's View ResearchJun 3, 2026 · Watch |
FY2025 |
| 459 |
Commercial Metals Company
CMC · US
|
$7.6B |
56/100
Medium
|
13.3%low 2.0% |
10 yr+ |
0.1× |
16% |
— |
FY2025 |
| 460 |
Graham Holdings Co
GHC · US
|
$5.1B |
56/100
Medium
|
8.2%low 1.8% |
10 yr+ |
0.1× |
36% |
— |
FY2025 |
| 461 |
RH
RH · US
|
$3.1B |
56/100
Medium
|
49.9%low 0.6% |
10 yr+ |
64.8× |
43% |
— |
FY2026 |
| 462 |
Goldman Sachs Group Inc
GS · US
|
$309B |
55/100
Medium
|
10.7%low 5.2% |
10 yr+ |
Net cash |
65% |
Goldman Sachs Group Deep Value Investing AnalysisMay 25, 2026 · Watch |
FY2025 |
| 463 |
Axalta Coating Systems Ltd
AXTA · US
|
$7.7B |
55/100
Medium
|
13.3%low 2.9% |
10 yr+ |
1.2× |
41% |
— |
FY2025 |
| 464 |
MDC Holdings Inc
MDC · US
|
$4.7B |
55/100
Medium
|
12.4%low 5.1% |
10 yr+ |
0.0× |
84% |
— |
FY2023 |
| 465 |
Interactive Brokers Group Inc
IBKR · US
|
$149B |
54/100
Medium
|
2.9%low 1.2% |
10 yr+ |
Net cash |
78% |
Interactive Brokers: A Long-Term Owner's ViewMay 25, 2026 · Watch |
FY2025 |
| 466 |
Westinghouse Air Brake Technologies Corp
WAB · US
|
$49B |
54/100
Medium
|
8.1%low 3.3% |
10 yr+ |
0.4× |
30% |
Wabtec: A Long-Term Business-Owner's AnalysisMay 27, 2026 · Watch |
FY2025 |
| 467 |
Synnex Corporation
SNX · US
|
$20B |
54/100
Medium
|
9.8%low 5.0% |
10 yr+ |
0.3× |
8% |
— |
FY2025 |
| 468 |
Affiliated Managers Group, Inc.
AMG · US
|
$9.7B |
54/100
Medium
|
12.6%low 0.4% |
10 yr+ |
0.7× |
60% |
— |
FY2025 |
| 469 |
Gorman-Rupp Company
GRC · US
|
$2.1B |
54/100
Medium
|
9.6%low 3.4% |
10 yr+ |
0.7× |
27% |
— |
FY2025 |
| 470 |
Quanta Services Inc
PWR · US
|
$100B |
53/100
Medium
|
9.7%low 5.9% |
10 yr+ |
0.7× |
13% |
Quanta Services: A Long-Term Owner's PerspectiveMay 25, 2026 · Watch |
FY2025 |
| 471 |
Sumitomo Electric Industries Ltd ADR
SMTOY · US
|
$41B |
53/100
Medium
|
7.2%low 3.5% |
10 yr+ |
0.2× |
18% |
Sumitomo Electric Industries: The Transition Is Real, But So Is the PriceJul 15, 2026 · Hold |
FY2026 |
| 472 |
IQVIA Holdings Inc
IQV · US
|
$39B |
53/100
Medium
|
13.0%low 1.3% |
10 yr+ |
2.2× |
33% |
IQVIA Holdings: A Deep-Dive Value Investing StudyMay 28, 2026 · Watch |
FY2025 |
| 473 |
American Water Works
AWK · US
|
$27B |
53/100
Medium
|
10.6%low 7.9% |
10 yr+ |
1.5× |
56% |
— |
FY2025 |
| 474 |
SBA Communications Corp
SBAC · US
|
$19B |
53/100
Medium
|
10.1%‡low 6.5% |
10 yr+ |
— |
72% |
SBA Communications Value Investing AnalysisMay 29, 2026 · Watch |
FY2025 |
| 475 |
Rogers Communications Inc
RCI · US
|
$18B |
53/100
Medium
|
19.8%low 8.1% |
10 yr+ |
2.4× |
40% |
Rogers Communications: A Long-Term Owner's PerspectiveJun 3, 2026 · Watch |
FY2025 |
| 476 |
Alliant Energy Corp
LNT · US
|
$18B |
53/100
Medium
|
10.8%low 9.9% |
10 yr+ |
1.6× |
40% |
Alliant Energy LNT Research from a Long-Term Business Owner's PerspectiveMay 30, 2026 · Watch |
FY2025 |
| 477 |
Otter Tail Corporation
OTTR · US
|
$3.7B |
53/100
Medium
|
14.8%low 9.3% |
10 yr+ |
0.4× |
34% |
— |
FY2025 |
| 478 |
American States Water Company
AWR · US
|
$3.4B |
53/100
Medium
|
11.7%low 7.3% |
10 yr+ |
0.9× |
73% |
— |
FY2025 |
| 479 |
LTC Properties Inc
LTC · US
|
$2.1B |
53/100
Medium
|
11.4%low 7.5% |
10 yr+ |
0.8× |
91% |
— |
FY2025 |
| 480 |
Waste Connections Inc
WCN · US
|
$42B |
52/100
Medium
|
8.5%low 3.0% |
10 yr+ |
1.1× |
41% |
— |
FY2025 |
| 481 |
FirstCash Inc
FCFS · US
|
$8.8B |
52/100
Medium
|
10.5%low 4.1% |
10 yr+ |
1.2× |
52% |
— |
FY2025 |
| 482 |
Rush Enterprises A Inc
RUSHA · US
|
$6.2B |
52/100
Medium
|
13.9%low 4.7% |
10 yr+ |
0.6× |
19% |
— |
FY2025 |
| 483 |
Rush Enterprises B Inc
RUSHB · US
|
$6.0B |
52/100
Medium
|
13.9%low 4.7% |
10 yr+ |
0.6× |
19% |
— |
FY2025 |
| 484 |
AAR Corp
AIR · US
|
$5.6B |
52/100
Medium
|
4.7%low 0.8% |
10 yr+ |
0.5× |
17% |
— |
FY2026 |
| 485 |
SLM Corp
SLM · US
|
$4.9B |
52/100
Medium
|
18.0%low 3.4% |
10 yr+ |
0.6× |
67% |
— |
FY2025 |
| 486 |
Bright Horizons Family Solutions Inc
BFAM · US
|
$3.9B |
52/100
Medium
|
12.1%low 2.1% |
10 yr+ |
1.2× |
24% |
— |
FY2025 |
| 487 |
Brightsphere Investment Group Inc
BSIG · US
|
$983M |
52/100
Medium
|
53.2%low 5.6% |
10 yr+ |
5.0× |
38% |
— |
FY2023 |
| 488 |
Equinix Inc
EQIX · US
|
$101B |
51/100
Medium
|
5.5%low 2.9% |
10 yr+ |
1.4× |
49% |
Equinix Long-Term Owner's Perspective ResearchMay 25, 2026 · Watch |
FY2025 |
| 489 |
Cigna Corp
CI · US
|
$74B |
51/100
Medium
|
12.5%low 6.4% |
10 yr+ |
0.6× |
19% |
The Cigna Group Long-Term Value Investment AnalysisMay 24, 2026 · Watch |
FY2025 |
| 490 |
ONEOK Inc
OKE · US
|
$57B |
51/100
Medium
|
21.6%low 7.0% |
10 yr+ |
1.5× |
20% |
ONEOK In-Depth Value Investing AnalysisMay 27, 2026 · Cautious Buy |
FY2025 |
| 491 |
WEC Energy Group Inc
WEC · US
|
$36B |
51/100
Medium
|
11.6%low 10.5% |
10 yr+ |
1.6× |
39% |
WEC Energy Group Deep Dive: A High-Quality Utility, but Its Premium Stability Is Already Fully Priced InMay 27, 2026 · Watch |
FY2025 |
| 492 |
Geo Group Inc
GEO · US
|
$4.1B |
51/100
Medium
|
12.1%low 2.4% |
10 yr+ |
1.1× |
33% |
— |
FY2025 |
| 493 |
BCE Inc
BCE · US
|
$20B |
50/100
Medium
|
14.5%low 2.0% |
10 yr+ |
1.8× |
56% |
— |
FY2025 |
| 494 |
WESCO International Inc
WCC · US
|
$17B |
50/100
Medium
|
11.0%low 3.0% |
10 yr+ |
1.2× |
20% |
— |
FY2025 |
| 495 |
Omega Healthcare Investors Inc
OHI · US
|
$16B |
50/100
Medium
|
8.1%low 2.8% |
10 yr+ |
0.8× |
94% |
— |
FY2025 |
| 496 |
Dycom Industries Inc
DY · US
|
$13B |
50/100
Medium
|
14.6%low 4.2% |
10 yr+ |
1.2× |
14% |
— |
FY2026 |
| 497 |
First Industrial Realty Trust Inc
FR · US
|
$9.0B |
50/100
Medium
|
11.5%low 9.3% |
10 yr+ |
0.9× |
67% |
— |
FY2025 |
| 498 |
MGE Energy Inc
MGEE · US
|
$3.0B |
50/100
Medium
|
10.1%low 9.5% |
10 yr+ |
0.7× |
43% |
— |
FY2025 |
| 499 |
Corporate Office Properties Trust
OFC · US
|
$2.9B |
50/100
Medium
|
6.4%low 0.8% |
10 yr+ |
1.5× |
32% |
— |
FY2022 |
| 500 |
Charter Communications Inc
CHTR · US
|
$20B |
49/100
Weak
|
25.0%low 3.4% |
10 yr+ |
6.0× |
37% |
— |
FY2025 |