Screen · Berkshire Criteria

Buffett Quality Screen

Buffett's "wonderful business" criteria, quantified into six dimensions: earnings record (20), ROE quality (25 — Fortune's double standard), low leverage (15), pricing power (15), business stability (15) and capital efficiency (10), for a 0–100 total. The entry gate is the first of Berkshire's acquisition criteria — at least $50M average pre-tax earnings over the last three fiscal years (banks and insurers excluded, as leverage is their business model; investment trusts and closed-end funds excluded, as they are portfolios rather than operating companies). Recomputed periodically from each company's last ten fiscal years; cross-listings merged by canonical ticker. Hover the score for the six-dimension breakdown; companies we cover link to their report. Filtrado por score tier "Floja", market "US", Has report: 57 match(borrar filtros).

# Activo Mkt Cap Score Baillie 10Y ROE Profit Streak Net Debt/Eq Gross Margin Informe FY
1 Applovin Corp APP · EE. UU. $133B
49/100 Floja
50/100 28.0%low -10.1% 3 yr 0.5× 75% AppLovin Corporation In-Depth Value Investment Research21 de mayo de 2026 · Watch FY2025
2 Valero Energy Corporation VLO · EE. UU. $90B
49/100 Floja
31/100 15.3%low -7.6% 5 yr 0.3× 5% Valero Energy Corporation: A Long-Term Value Investing Study26 de mayo de 2026 · Watch FY2025
3 Qiagen NV QGEN · EE. UU. $7.5B
49/100 Floja
42/100 7.4%low -1.6% 6 yr 0.1× 63% QIAGEN: Sticky Workflow Economics With Takeover Optionality Already in the Price17 de julio de 2026 · Hold FY2025
4 Linde plc Ordinary Shares LIN · EE. UU. $221B
48/100 Floja
47/100 13.9%low 4.7% 10 yr+ 0.6× 32% In-Depth Value Investment Analysis of Linde plc22 de mayo de 2026 · Watch FY2025
5 nVent Electric PLC NVT · EE. UU. $25B
48/100 Floja
46/100 10.5%low -2.0% 5 yr 0.4× 39% nVent Electric (NVT) Zen Horizon Research Report8 de junio de 2026 · Hold FY2025
6 UDR Inc UDR · EE. UU. $14B
48/100 Floja
39/100 5.2%low 1.6% 10 yr+ 1.9× 23% UDR Deep Value Investment Research30 de mayo de 2026 · Watch FY2025
7 On Holding Ltd ONON · EE. UU. $13B
48/100 Floja
52/100 1.3%low -20.1% 4 yr Net cash 58% On Holding: crecimiento premium, cotizado a la perfección17 de junio de 2026 · Mantener FY2025
8 MercadoLibre Inc. MELI · EE. UU. $95B
47/100 Floja
56/100 15.4%low -10.9% 5 yr 0.8× 49% MercadoLibre: Un análisis de inversión desde la óptica de un propietario de negocio a largo plazo22 de mayo de 2026 · Vigilar FY2025
9 Expedia Group Inc. EXPE · EE. UU. $35B
47/100 Floja
46/100 11.9%low -103.2% 5 yr Net cash 83% Expedia Group Deep Value Investment Analysis29 de mayo de 2026 · Watch FY2025
10 TransUnion TRU · EE. UU. $15B
47/100 Floja
48/100 13.2%low -5.1% 2 yr 1.0× 64% TransUnion: Strip Out the Zero-Margin FICO Royalty and the 12% to 13% Reported Growth Outlook Becomes 5% to 6%, While 78.62 Dollars Sits Above the Conservative Range2 de agosto de 2026 · Hold FY2025
11 Palantir Technologies Inc. PLTR · EE. UU. $295B
46/100 Floja
63/100 -12.7%low -76.6% 3 yr Net cash 76% Palantir Technologies Inc.: 93% Growth and a 47% GAAP Operating Margin, but $174.33 Already Equals the $172 Optimistic DCF Value5 de septiembre de 2026 · Watch FY2025
12 Nextera Energy Inc NEE · EE. UU. $181B
46/100 Floja
43/100 13.1%low 8.0% 10 yr+ 1.7× 57% NextEra Energy: A Long-Term Owner's Perspective25 de mayo de 2026 · Watch FY2025
13 Airbnb Inc ABNB · EE. UU. $90B
46/100 Floja
50/100 -1.8%low -158.0% 4 yr Net cash 79% Airbnb Value Investment Deep-Dive22 de mayo de 2026 · Watch FY2025
14 T-Mobile US Inc TMUS · EE. UU. $185B
45/100 Floja
46/100 11.4%low 3.7% 10 yr+ 2.0× 57% T-Mobile Long-Term Owner's View Research23 de mayo de 2026 · Watch FY2025
15 Marriott International Inc MAR · EE. UU. $97B
45/100 Floja
48/100 33.4%low -62.1% 5 yr 19% Marriott International Deep Value Analysis22 de mayo de 2026 · Watch FY2025
16 Wheaton Precious Metals Corp WPM · EE. UU. $51B
45/100 Floja
49/100 7.8%low 1.2% 10 yr+ Net cash 54% Wheaton Precious Metals In-Depth Research31 de mayo de 2026 · Hold FY2025
17 Ares Management LP ARES · EE. UU. $42B
45/100 Floja
52/100 13.9%low 5.2% 10 yr+ 3.1× 60% Ares Management: A Deep Dive into the Alternative Asset Management Platform23 de mayo de 2026 · Watch FY2025
18 Fidelity National Information Services Inc FIS · EE. UU. $23B
45/100 Floja
45/100 -5.7%low -61.4% 2 yr 0.2× 35% FIS: A Contrarian Study of a Financial-Infrastructure Cash Cow in Transition28 de mayo de 2026 · Cautious Buy FY2025
19 Aecom Technology Corporation ACM · EE. UU. $8.7B
45/100 Floja
38/100 6.4%low -7.1% 5 yr 0.7× 5% AECOM: A 16.5% Segment Margin and 12.1x Earnings Are Genuinely Cheap, but First-Half Free Cash Flow of 15 Million Dollars Means 72.39 Dollars Only Buys the Base Case1 de agosto de 2026 · Hold FY2025
20 Amazon.com Inc AMZN · EE. UU. $2.9T
44/100 Floja
62/100 16.5%low -1.9% 3 yr 0.1× 40% Amazon: AWS Demand and AI Commitments Are Real, but 230.86 USD Still Asks Investors to Fund a 200 Billion USD Capex Cycle Without a Margin of Safety29 de julio de 2026 · Hold FY2025
21 Shopify Inc SHOP · EE. UU. $152B
44/100 Floja
56/100 -0.3%low -42.0% 3 yr Net cash 52% Shopify: una plataforma de infraestructura comercial23 de mayo de 2026 · Vigilar FY2025
22 PDD Holdings Inc. PDD · EE. UU. $126B
44/100 Floja
49/100 -9.1%low -81.9% 5 yr Net cash 59% PDD Holdings Deep-Dive Research Report2 de junio de 2026 · Watch FY2025
23 MPLX LP MPLX · EE. UU. $60B
44/100 Floja
43/100 18.6%low -5.2% 5 yr 1.7× 42% MPLX LP: A 1.3x-Covered 7.4% Yield, $2.9 Billion of Growth Capex, and No Margin of Safety at $58.4124 de agosto de 2026 · Hold FY2025
24 Equifax Inc EFX · EE. UU. $20B
43/100 Floja
46/100 12.6%low -14.9% 6 yr 1.1× 57% Equifax Inc. Deep Value Investment Research Report29 de mayo de 2026 · Watch FY2025
25 EOG Resources Inc EOG · EE. UU. $79B
42/100 Floja
42/100 15.3%low -7.8% 5 yr 0.2× 66% EOG Resources: A Long-Term Owner's Perspective26 de mayo de 2026 · Watch FY2025
26 American Electric Power Co Inc AEP · EE. UU. $70B
42/100 Floja
40/100 9.7%low 3.5% 10 yr+ 1.6× 28% American Electric Power In-Depth Value Investment Analysis21 de mayo de 2026 · Watch FY2025
27 Kinder Morgan Inc KMI · EE. UU. $72B
41/100 Floja
43/100 5.5%low 0.5% 10 yr+ 1.0× 50% Kinder Morgan: A Long-Term Owner's Perspective26 de mayo de 2026 · Watch FY2025
28 Barrick Mining Corporation B · EE. UU. $63B
41/100 Floja
38/100 7.5%low -20.3% 7 yr Net cash 37% Barrick Mining: A World-Class Gold-and-Copper Portfolio in Transition, Discounted for Complexity and Priced Near Fair Value25 de junio de 2026 · Hold FY2025
29 Vertiv Holdings Co VRT · EE. UU. $93B
40/100 Floja
48/100 -121.2%low -1213.7% 5 yr 0.4× 31% Vertiv Holdings Co: Deferred Revenue Doubled to 3.63 Billion USD After a 110 Million USD Second-Quarter Revenue Miss, While Full-Year Guidance Implies 4.33 Billion USD of Fourth-Quarter Sales6 de agosto de 2026 · Hold FY2025
30 Baker Hughes Co BKR · EE. UU. $60B
40/100 Floja
42/100 -3.6%low -77.1% 3 yr 0.1× 21% Baker Hughes In-Depth Value Investing Analysis21 de mayo de 2026 · Watch FY2025
31 Cardinal Health Inc CAH · EE. UU. $54B
40/100 Floja
41/100 -17.6%low -206.4% 3 yr 4% Cardinal Health Deep Value Investment Analysis24 de mayo de 2026 · Watch FY2025
32 Federal Realty Investment Trust FRT · EE. UU. $11B
40/100 Floja
42/100 10.3%low 5.1% 10 yr+ 1.5× 62% Federal Realty Investment Trust: A Deep-Dive Research Report from a Long-Term Business Owner's Perspective31 de mayo de 2026 · Watch FY2025
33 Qorvo Inc QRVO · EE. UU. $8.0B
40/100 Floja
28/100 6.1%low -2.0% 2 yr 0.1× 41% Qorvo: A Long-Term Owner's Perspective3 de junio de 2026 · Watch FY2026
34 Duolingo Inc DUOL · EE. UU. $6.3B
40/100 Floja
51/100 -2.8%low -25.2% 3 yr Net cash 76% Duolingo: A Long-Term Owner's Perspective18 de mayo de 2026 · Watch FY2025
35 TAL Education Group TAL · EE. UU. $5.1B
40/100 Floja
45/100 2.2%low -28.4% 2 yr Net cash 53% TAL Education Group: una reconstrucción con mucha caja y una incógnita en hardware18 de junio de 2026 · Mantener FY2026
36 Walt Disney Company DIS · EE. UU. $167B
39/100 Floja
45/100 10.3%low -2.9% 5 yr 0.4× 38% Disney: A Long-Term Owner's Perspective25 de mayo de 2026 · Watch FY2025
37 Corning Incorporated GLW · EE. UU. $119B
39/100 Floja
49/100 8.6%low -3.2% 8 yr 0.7× 35% Corning In-Depth Value Research Report20 de mayo de 2026 · Watch FY2025
38 Marathon Petroleum Corp MPC · EE. UU. $92B
39/100 Floja
35/100 17.7%low -44.3% 5 yr 1.8× 7% Marathon Petroleum: A Deep-Value Investment Study26 de mayo de 2026 · Watch FY2025
39 Agnico Eagle Mines Limited AEM · EE. UU. $75B
39/100 Floja
43/100 7.0%low -7.2% 7 yr Net cash 34% Agnico Eagle Mines (AEM) Zen Horizon Report8 de junio de 2026 · Watch FY2025
40 Gold Fields Ltd ADR GFI · EE. UU. $30B
39/100 Floja
36/100 13.4%low -12.9% 7 yr 0.2× 34% Gold Fields: A De-Rated but Reshaped Global Gold Miner Still Priced for Execution and Country Risk25 de junio de 2026 · Cautious Buy FY2025
41 RTX Corporation RTX · EE. UU. $290B
38/100 Floja
40/100 9.2%low -4.9% 5 yr 0.5× 21% RTX Corporation: A Record Backlog and a Documented GTF Recovery, Already Paid For by a 26% Re-Rating7 de agosto de 2026 · Hold FY2025
42 argenx NV ADR ARGX · EE. UU. $53B
38/100 Floja
55/100 -12.2%low -36.3% 2 yr Net cash 91% argenx (ARGX.US / ARGX.BR): un informe Zen Horizon9 de junio de 2026 · Vigilar FY2025
43 Credo Technology Group Holding Ltd CRDO · EE. UU. $39B
38/100 Floja
53/100 2.8%low -6.6% 2 yr Net cash 66% Credo (CRDO) Zen Horizon Report5 de junio de 2026 · Watch FY2026
44 MasTec Inc MTZ · EE. UU. $21B
38/100 Floja
44/100 12.3%low -1.8% 2 yr 0.7× 13% MasTec, Inc.22 de julio de 2026 · Hold FY2025
45 Hilton Worldwide Holdings Inc HLT · EE. UU. $72B
37/100 Floja
47/100 18.9%low -7.2% 5 yr 30% Hilton Worldwide Holdings Deep-Dive Value Investment Research26 de mayo de 2026 · Watch FY2025
46 Las Vegas Sands Corp LVS · EE. UU. $32B
37/100 Floja
43/100 24.1%low -47.6% 4 yr 7.7× 45% Las Vegas Sands: A Long-Term Business Owner's Perspective28 de mayo de 2026 · Watch FY2025
47 DTE Energy Company DTE · EE. UU. $30B
37/100 Floja
39/100 11.1%low 9.6% 10 yr+ 2.1× 32% DTE Energy: A Long-Term Owner's Perspective on a U.S. Regulated Utility28 de mayo de 2026 · Watch FY2025
48 Constellation Brands Inc Class A STZ · EE. UU. $22B
37/100 Floja
42/100 12.9%low -1.2% 1 yr 1.4× 51% Constellation Brands Long-Term Value Research Report29 de mayo de 2026 · Watch FY2026
49 Royal Gold Inc RGLD · EE. UU. $17B
37/100 Floja
47/100 5.7%low -5.4% 7 yr 0.1× 79% Análisis en profundidad de Royal Gold15 de junio de 2026 · Mantener FY2025
50 Modine Manufacturing Company MOD · EE. UU. $11B
37/100 Floja
43/100 6.0%low -60.4% 5 yr 0.4× 18% Modine Manufacturing: A Deep Long-Term Value Investing Study19 de mayo de 2026 · Watch FY2026
51 Oceaneering International Inc OII · EE. UU. $4.9B
37/100 Floja
41/100 -6.0%low -89.0% 4 yr Net cash 13% Oceaneering International Zen Horizon Framework Deep Dive7 de junio de 2026 · Watch FY2025
52 Constellium Nv CSTM · EE. UU. $3.8B
37/100 Floja
31/100 12.9%low 4.6% 5 yr 1.9× 11% Constellium: A Long-Term Value Investing Study3 de junio de 2026 · Watch FY2025
53 Howmet Aerospace Inc HWM · EE. UU. $113B
36/100 Floja
47/100 10.1%low -18.3% 8 yr 0.4× 22% Howmet Aerospace Deep Value Investment Research25 de mayo de 2026 · Watch FY2025
54 Marvell Technology Group Ltd MRVL · EE. UU. $168B
35/100 Floja
52/100 2.6%low -6.6% 1 yr 0.2× 50% Marvell Technology: A Real AI Franchise, but the Price Already Pays for Fiscal 20299 de agosto de 2026 · Hold FY2026
55 Southern Company SO · EE. UU. $109B
35/100 Floja
41/100 10.4%low 3.4% 10 yr+ 2.0× 43% The Southern Company: A Long-Term Owner's Perspective25 de mayo de 2026 · Watch FY2025
56 Schlumberger NV SLB · EE. UU. $74B
35/100 Floja
42/100 -4.5%low -86.9% 5 yr 0.3× 16% SLB: A Long-Term Owner's Perspective26 de mayo de 2026 · Watch FY2025
57 TechnipFMC PLC FTI · EE. UU. $28B
35/100 Floja
43/100 -6.7%low -79.1% 3 yr 0.3× 16% TechnipFMC: A Higher-Quality Subsea Franchise Now Priced for Continued Delivery29 de junio de 2026 · Hold FY2025

Data and methodology: the six dimensions quantify Berkshire's published acquisition criteria and Buffett's shareholder letters (1981/1987/1991/2007 among others). Qualitative tests in the originals (e.g. "simple, understandable business", "management in place") are out of scope, and price ("available at a fair price") is covered by each report's valuation range instead. Financials come from company annual reports (via EODHD); ratios are computed in reporting currency, the USD gate via static FX. "‡" marks companies whose equity is persistently negative or tiny (ROE falls back to ROCE); "†" marks missing gross profit (operating margin used). Investment trusts and closed-end funds are excluded on two tests — name and financial shape (operating margins beyond what an operating company can achieve); REITs and operating asset managers are unaffected. This is a quantitative first pass, not investment advice. When citing this data, please credit Zen Horizon (zh.app). See our methodology for the scoring process.