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. Filtré par market "Europe (incl. UK)", profit streak "≥5 yr" : 252 match(effacer les filtres) · page 3 sur 3.

# Titre Mkt Cap Score Baillie 10Y ROE Profit Streak Net Debt/Eq Gross Margin Étude FY
201 Fresnillo PLC FRES · LSE $23B
50/100 Moyen
31/100 12.3%low 3.7% 10 yr+ Net cash 35% Fresnillo: A Genuine Re-Rating, But the Price Already Assumes the Hard Part Is Done4 juillet 2026 · Hold FY2025
202 Eurofins Scientific SE ERF · Paris $13B
50/100 Moyen
51/100 10.6%low 6.1% 10 yr+ 1.3× 55% Eurofins Scientific (Eurofins Scientific SE, ERF.PA) — Zen Horizon Report8 juin 2026 · Watch FY2025
203 Tele2 AB (publ) TEL2-B · ST $12B
50/100 Moyen
11.8%low -10.6% 9 yr 1.3× 40% FY2025
204 CTS Eventim AG & Co. KGaA EVD · XETRA $6.1B
50/100 Moyen
22.2%low -19.7% 5 yr Net cash 24% FY2025
205 Siegfried Holding Ltd SFZN · SW $4.4B
50/100 Moyen
12.5%low 4.2% 10 yr+ 0.4× 22% FY2025
206 Inchcape PLC INCH · LSE $3.7B
50/100 Moyen
14.3%low -13.6% 5 yr 0.5× 14% FY2025
207 Centamin PLC CEY · LSE $2.1B
50/100 Moyen
11.2%low 3.8% 10 yr+ Net cash 33% FY2023
208 Sirius Real Estate Limited SRE · LSE $2.0B
50/100 Moyen
12.2%low 6.6% 10 yr+ 0.6× 63% FY2026
209 Hilton Food Group Plc HFG · LSE $704M
50/100 Moyen
14.0%low 6.0% 10 yr+ 0.9× 10% FY2025
210 Heineken Holding NV HEIO · Amsterdam $22B
49/100 Faible
16.9%low -1.3% 5 yr 1.8× 37% FY2025
211 Hugo Boss AG BOSS · XETRA $2.8B
49/100 Faible
14.7%low -29.1% 5 yr 0.5× 62% FY2025
212 Watches Of Switzerland Group PLC WOSG · LSE $2.1B
49/100 Faible
12.0%low -2.3% 7 yr 0.8× 12% FY2026
213 SÜSS MicroTec SE SMHN · XETRA $1.9B
49/100 Faible
42/100 9.0%low -13.0% 6 yr Net cash 35% SÜSS MicroTec (SMHN): A Niche Winner in Advanced Packaging Equipment, Good Company at a Bad Price9 juin 2026 · Watch FY2025
214 Baltic Classifieds Group PLC BCG · LSE $1.1B
49/100 Faible
11.7%low -2.8% 5 yr 0.1× 89% FY2026
215 Me Group International PLC MEGP · LSE $561M
49/100 Faible
19.1%low -22.1% 5 yr Net cash 27% FY2025
216 Rubis SCA RUI · Paris $3.7B
48/100 Faible
11.8%low 9.6% 10 yr+ 0.5× 20% FY2025
217 Rexel S.A RXL · Paris $11B
46/100 Faible
6.9%low -6.9% 5 yr 0.8× 25% FY2025
218 Sodexo SA SW · Paris $9.0B
46/100 Faible
12.1%low -11.6% 5 yr 0.9× 14% FY2025
219 Nexans S.A. NEX · Paris $7.6B
46/100 Faible
46/100 8.3%low -9.7% 6 yr 0.1× 12% Nexans: A Subsea Margin Story the Price Has Largely Absorbed26 août 2026 · Hold FY2025
220 XPS Pensions Group PLC XPS · LSE $859M
46/100 Faible
5.1%low -46.7% 9 yr 0.4× 53% FY2026
221 Iberdrola S.A. IBE · MC $149B
45/100 Faible
9.8%low 7.3% 10 yr+ 1.1× 46% FY2025
222 Yara International ASA YAR · OL $12B
45/100 Faible
8.6%low 0.2% 10 yr+ 0.5× 26% FY2025
223 NKT A/S NKT · CO $8.6B
45/100 Faible
47/100 2.1%low -9.5% 5 yr Net cash 34% NKT: A EUR 13bn Transmission Backlog and Rising Margins, but DKK 930 Already Pays for the 2027 Factories That Are Still Being Built26 août 2026 · Hold FY2025
224 ISS A/S ISS · CO $6.9B
45/100 Faible
4.5%low -79.9% 5 yr 1.4× 83% FY2025
225 Antofagasta PLC ANTO · LSE $46B
44/100 Faible
9.7%low 1.8% 10 yr+ 0.3× 45% FY2025
226 Heidelberg Materials AG HEI · XETRA $31B
44/100 Faible
6.1%low -15.8% 5 yr 0.3× 58% FY2025
227 Mitie Group PLC MTO · LSE $3.3B
44/100 Faible
11.2%low -59.0% 5 yr 0.9× 11% FY2026
228 Chemring Group PLC CHG · LSE $2.1B
44/100 Faible
5.6%low -13.9% 7 yr 0.2× 85% FY2025
229 Orange S.A. ORA · Paris $48B
43/100 Faible
7.6%low 0.9% 10 yr+ 1.4× 36% FY2025
230 Veolia Environnement VE SA VIE · Paris $27B
43/100 Faible
9.4%low 1.2% 10 yr+ 1.7× 17% FY2025
231 Ackermans & Van Haaren NV ACKB · BR $9.5B
43/100 Faible
9.8%low 6.5% 10 yr+ 1.5× 28% FY2025
232 Weir Group PLC WEIR · LSE $8.7B
43/100 Faible
43/100 4.7%low -23.7% 5 yr 0.7× 36% Weir PLC: 82% Aftermarket Revenue Meets 2.2x Leverage and a 15.2% ROCE, and £27.24 Already Prices the H2 Recovery8 septembre 2026 · Hold FY2025
233 Elis SA ELIS · Paris $5.7B
42/100 Faible
5.4%low 0.1% 10 yr+ 1.0× 36% FY2025
234 Aker BP ASA AKRBP · OL $23B
41/100 Faible
35/100 10.9%low 1.2% 10 yr+ 0.4× 59% Aker BP ASA: The 2028 Cash Inflection Is Sanctioned and Tax-Shielded, but NOK 356 Leaves No Conservative Margin of Safety4 septembre 2026 · Hold FY2025
235 Klepierre SA LI · Paris $12B
41/100 Faible
6.6%low -9.6% 5 yr 0.9× 76% FY2025
236 Equinor ASA EQNR · OL $99B
40/100 Faible
38/100 14.2%low -16.2% 5 yr Net cash 41% Equinor: Q2 Profit of USD 11.48bn Leaves USD 3.44bn After Tax, and NOK 386.40 Already Pays the Base Case29 août 2026 · Hold FY2025
237 E.ON SE EOAN · XETRA $53B
40/100 Faible
28.0%low 3.7% 9 yr 1.9× 19% FY2025
238 InterContinental Hotels Group PLC IHG · LSE $30B
40/100 Faible
51.3%low -18.0% 5 yr 29% FY2025
239 Storebrand ASA STB · OL $9.1B
39/100 Faible
10.0%low 6.2% 10 yr+ 0.8× 17% FY2025
240 Metlen Energy & Metals PLC MTLN · LSE $7.1B
38/100 Faible
12.9%low 3.5% 10 yr+ 1.0× 16% FY2025
241 SBM Offshore N.V. SBMO · Amsterdam $5.8B
38/100 Faible
10.3%low -6.2% 8 yr 1.8× 30% FY2025
242 Galp Energia SGPS S.A. GALP · LS $17B
37/100 Faible
13.6%low -17.4% 5 yr 10% FY2025
243 Trainline Plc TRN · LSE $1.1B
33/100 Médiocre
0.3%low -32.2% 5 yr 1.0× 63% FY2026
244 TotalEnergies SE TTE · Paris $183B
32/100 Médiocre
40/100 10.3%low -7.0% 5 yr 0.3× 27% TotalEnergies: USD 27.5bn of Owner Earnings, 33.4 GW of Power, and No Obvious Margin of Safety at EUR 77.612 septembre 2026 · Hold FY2025
245 Subsea 7 S.A. SUBC · OL $10B
32/100 Médiocre
46/100 0.7%low -26.1% 5 yr 0.1× 11% Subsea 7 (SUBC.OL) Zen Horizon Research Report9 juin 2026 · Watch FY2025
246 Ferrovial S.A. FER · MC $44B
31/100 Médiocre
9.9%low -13.3% 5 yr 1.1× 22% FY2025
247 Repsol S.A. REP · MC $31B
30/100 Médiocre
4.3%low -16.2% 5 yr 0.3× 17% FY2025
248 Shell plc SHEL · LSE $238B
27/100 Médiocre
31/100 7.9%low -14.0% 5 yr 0.4× 11% Shell plc: $22.4 Billion Returned on 52% of Cash Flow, an Eight-Year Reserve Life, and No Margin of Safety at £34.1024 août 2026 · Hold FY2025
249 Shell PLC SHELL · Amsterdam $237B
27/100 Médiocre
7.9%low -13.9% 5 yr 0.4× 11% FY2025
250 Naturgy Energy Group SA NTGY · MC $29B
26/100 Médiocre
11.0%low -25.8% 5 yr 1.3× 29% FY2025
251 Engie S.A. ENGI · Paris $74B
21/100 Médiocre
4.1%low -6.9% 5 yr 1.2× 23% FY2025
252 J D Wetherspoon PLC JDW · LSE $1.1B
17/100 Médiocre
3.7%low -63.7% 5 yr 3.1× 8% FY2025