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 "US" : 986 match(effacer les filtres) · page 4 sur 10.

# Titre Mkt Cap Score Baillie 10Y ROE Profit Streak Net Debt/Eq Gross Margin Étude FY
301 Elevance Health Inc ELV · États-Unis $82B
71/100 Solide
39/100 14.2%low 9.8% 10 yr+ 0.5× 24% FY2025
302 United Rentals Inc URI · États-Unis $67B
71/100 Solide
45/100 30.1%low 19.6% 10 yr+ 1.8× 37% United Rentals: A Deep Value Investment Study27 mai 2026 · Watch FY2025
303 Sysco Corporation SYY · États-Unis $41B
71/100 Solide
37/100 48.5%low 18.6% 10 yr+ 7.3× 18% FY2025
304 Restaurant Brands International Inc QSR · États-Unis $34B
71/100 Solide
42/100 30.1%low 12.3% 10 yr+ 4.5× 44% Restaurant Brands International: Burger King US Comps at 8.5%, Popeyes US at -5.2%, and No Margin of Safety at $81.5725 août 2026 · Hold FY2025
305 PulteGroup Inc PHM · États-Unis $24B
71/100 Solide
39/100 21.1%low 10.8% 10 yr+ 0.0× 23% PulteGroup Value Investing Research Report29 mai 2026 · Watch FY2025
306 Genmab AS GMAB · États-Unis $18B
71/100 Solide
18.6%low 13.3% 10 yr+ 0.6× 99% FY2025
307 Lamar Advertising Company LAMR · États-Unis $16B
71/100 Solide
44/100 33.7%low 20.2% 10 yr+ 6.0× 63% Lamar Advertising: A 6.1% Organic Quarter and 2.9x Leverage, but 17.2x AFFO Leaves No Margin of Safety27 août 2026 · Hold FY2025
308 IES Holdings Inc IESC · États-Unis $15B
71/100 Solide
48/100 20.4%low -6.4% 7 yr Net cash 19% IES Holdings: Backlog Nearly Doubled to $4.5 Billion While 38% Sits Outside Enforceable RPO, and at $768.43 the Shares Run 79% to 102% Above Conservative Fair Value7 août 2026 · Watch FY2025
309 Solventum Corp. SOLV · États-Unis $15B
71/100 Solide
39/100 16.4%low 11.4% 6 yr 0.8× 57% Solventum Deep Value Investment Research30 mai 2026 · Watch FY2025
310 Carlisle Companies Incorporated CSL · États-Unis $14B
71/100 Solide
38/100 24.7%low 10.1% 10 yr+ 1.0× 32% Carlisle Companies: Second-Quarter Sales Rose 8.3% While Adjusted EBITDA Margin Fell 70 Basis Points, and Full-Year Guidance Went Up on Revenue and Down on Margin6 août 2026 · Hold FY2025
311 Toll Brothers Inc TOL · États-Unis $14B
71/100 Solide
37/100 15.1%low 9.0% 10 yr+ 0.2× 23% Recherche approfondie sur Toll Brothers15 juin 2026 · Conserver FY2025
312 Paylocity Holding Corporation PCTY · États-Unis $7.4B
71/100 Solide
13.8%low -3.2% 9 yr Net cash 65% FY2025
313 Credit Acceptance Corporation CACC · États-Unis $6.0B
71/100 Solide
27.8%low 14.2% 10 yr+ 3.8× 78% FY2025
314 Patria Investments Ltd PAX · États-Unis $1.7B
71/100 Solide
33.7%low 14.0% 8 yr 0.2× 83% FY2025
315 Cricut Inc CRCT · États-Unis $984M
71/100 Solide
25.3%low 9.0% 8 yr Net cash 40% FY2025
316 Embecta Corp EMBC · États-Unis $216M
71/100 Solide
50.5%low 26.0% 7 yr 68% FY2025
317 Booking Holdings Inc BKNG · États-Unis $149B
70/100 Solide
44/100 32.6%low 1.2% 10 yr+ 99% Booking Holdings: A Deep Value Investing Analysis21 mai 2026 · Cautious Buy FY2025
318 Starbucks Corporation SBUX · États-Unis $120B
70/100 Solide
40/100 45.0%low 12.5% 10 yr+ 27% Starbucks Corporation: A Long-Term Owner's Perspective23 mai 2026 · Watch FY2025
319 Comcast Corp CMCSA · États-Unis $85B
70/100 Solide
42/100 17.2%low 6.6% 10 yr+ 1.0× 69% Comcast: A Deep Value-Investing Analysis21 mai 2026 · Cautious Buy FY2025
320 Kroger Company KR · États-Unis $37B
70/100 Solide
39/100 25.1%low 17.1% 10 yr+ 3.4× 22% Kroger Deep Value Investment Research27 mai 2026 · Watch FY2026
321 Freedom Holding Corp FRHC · États-Unis $9.6B
70/100 Solide
23.5%low 6.1% 10 yr+ Net cash 76% FY2026
322 AptarGroup Inc ATR · États-Unis $8.5B
70/100 Solide
38/100 14.1%low 11.6% 10 yr+ 0.4× 35% AptarGroup: Pharma Carries the Profit, the Price Leaves No Cushion26 août 2026 · Hold FY2025
323 Descartes Systems Group Inc DSGX · États-Unis $6.4B
70/100 Solide
7.5%low 4.5% 10 yr+ Net cash 74% FY2026
324 Grupo Aeroportuario del Centro Norte SAB de CV OMAB · États-Unis $5.2B
70/100 Solide
35.5%low 10.3% 10 yr+ 0.9× 62% FY2025
325 Science Applications International Corporation Common Stock SAIC · États-Unis $5.0B
70/100 Solide
31/100 24.3%low 9.1% 10 yr+ 1.7× 11% SAIC: Margins and Buybacks Lift Owner Earnings to an 8.7% Yield, but a 1.0x Trailing Book-to-Bill Leaves $127.28 Above Conservative Value26 août 2026 · Hold FY2026
326 Asbury Automotive Group Inc ABG · États-Unis $4.3B
70/100 Solide
29.0%low 12.3% 10 yr+ 1.6× 17% FY2025
327 Korn Ferry KFY · États-Unis $4.2B
70/100 Solide
11.5%low 7.8% 10 yr+ Net cash 78% FY2026
328 Universal Display OLED · États-Unis $3.7B
70/100 Solide
14.0%low 8.5% 10 yr+ Net cash 80% FY2025
329 PC Connection Inc CNXN · États-Unis $2.1B
70/100 Solide
10.8%low 8.8% 10 yr+ Net cash 16% FY2025
330 Innoviva Inc INVA · États-Unis $1.5B
70/100 Solide
37.3%low 3.4% 10 yr+ Net cash 84% FY2025
331 Walmart Inc. WMT · États-Unis $885B
69/100 Solide
46/100 16.0%low 8.4% 10 yr+ 0.6× 25% Walmart Research from a Long-Term Owner's Perspective23 mai 2026 · Watch FY2026
332 Thermo Fisher Scientific Inc TMO · États-Unis $213B
69/100 Solide
47/100 13.3%low 8.8% 10 yr+ 0.5× 44% Thermo Fisher: A Long-Term Owner's Perspective25 mai 2026 · Watch FY2025
333 Eaton Corporation PLC ETN · États-Unis $150B
69/100 Solide
46/100 15.3%low 9.4% 10 yr+ 0.5× 40% Eaton: Record Orders and a Cleaner Post-Mobility Portfolio, but 42 Times Free Cash Flow Leaves No Conservative-Case Margin of Safety5 août 2026 · Hold FY2025
334 United Parcel Service Inc UPS · États-Unis $89B
69/100 Solide
38/100 52.6%low 34.3% 10 yr+ 1.6× 18% FY2025
335 Woodward Inc WWD · États-Unis $21B
69/100 Solide
30/100 13.2%low 9.0% 10 yr+ 0.2× 25% Woodward: A Long-Term Owner's Perspective3 juin 2026 · Watch FY2025
336 Stifel Financial Corporation SF · États-Unis $13B
69/100 Solide
10.9%low 3.0% 10 yr+ Net cash 93% FY2025
337 New York Times Company NYT · États-Unis $12B
69/100 Solide
50/100 10.6%low 0.5% 10 yr+ Net cash 51% The New York Times : l'économie du bundle à pleine valeur17 juin 2026 · Conserver FY2025
338 Janus Henderson Group PLC JHG · États-Unis $8.0B
69/100 Solide
11.4%low 8.6% 10 yr+ Net cash 70% FY2025
339 InterDigital Inc IDCC · États-Unis $7.9B
69/100 Solide
38/100 21.2%low 2.7% 10 yr+ Net cash 74% InterDigital, Inc.: ARR Hit a Record 625.7 Million but 103.7 Million of Q2 Revenue Was Catch-Up, and 326.08 USD Sits 42% Above the 230 USD Conservative Ceiling16 septembre 2026 · Hold FY2025
340 MSA Safety MSA · États-Unis $7.3B
69/100 Solide
44/100 14.7%low 2.6% 10 yr+ 0.3× 45% MSA Safety: Adjusted Operating Margin Reached 24.1% on 3.2% Organic Growth, 744 Million USD Went Into Two Detection Acquisitions in Fourteen Months, and 179.82 USD Sits 50% Above the 120 USD Ideal Buy Ceiling17 septembre 2026 · Hold FY2025
341 Acushnet Holdings Corp GOLF · États-Unis $6.2B
69/100 Solide
16.5%low 6.1% 10 yr+ 1.3× 51% FY2025
342 Ollie's Bargain Outlet Hldg OLLI · États-Unis $4.4B
69/100 Solide
12.7%low 7.5% 10 yr+ 0.2× 39% FY2026
343 Organon & Co OGN · États-Unis $3.6B
69/100 Solide
29.0%low 10.3% 9 yr 10.9× 60% FY2025
344 Tootsie Roll Industries Inc TR · États-Unis $3.0B
69/100 Solide
9.4%low 7.6% 10 yr+ Net cash 36% FY2025
345 CRA International Inc CRAI · États-Unis $1.2B
69/100 Solide
15.0%low 3.7% 10 yr+ 0.5× 29% FY2025
346 Consensus Cloud Solutions Inc CCSI · États-Unis $670M
69/100 Solide
30.0%low 21.0% 8 yr 36.7× 82% FY2025
347 Morgan Stanley MS · États-Unis $331B
68/100 Solide
46/100 11.1%low 7.9% 10 yr+ Net cash 77% Morgan Stanley Deep Value Investment Research Report25 mai 2026 · Watch FY2025
348 Charles Schwab Corp SCHW · États-Unis $183B
68/100 Solide
44/100 13.7%low 5.9% 10 yr+ Net cash 90% Charles Schwab: A Long-Term Owner's Perspective25 mai 2026 · Watch FY2025
349 Norfolk Southern Corporation NSC · États-Unis $75B
68/100 Solide
32/100 19.4%low 13.4% 10 yr+ 1.0× 37% Norfolk Southern: A Deep Value Investment Analysis26 mai 2026 · Watch FY2025
350 Wise Group plc Class A Ordinary Shares WSE · États-Unis $12B
68/100 Solide
52/100 16.5%low 5.8% 10 yr+ Net cash 66% Wise: A Record-Low 50-Basis-Point Take Rate Still Drives 26% Volume Growth, but a Quarter of Net Revenue Is Interest and $13.04 Has No Margin of Safety31 août 2026 · Hold FY2026
351 PJT Partners Inc PJT · États-Unis $11B
68/100 Solide
42.1%low -7.7% 8 yr Net cash 30% FY2025
352 Valmont Industries Inc VMI · États-Unis $9.4B
68/100 Solide
41/100 14.7%low 8.9% 10 yr+ 0.5× 27% Valmont: A 33.9% Utility Surge and 0.93x Leverage Justify the Rerating, but $472.43 Still Underwrites the 2029 Margin Plan With No Conservative-Case Margin of Safety18 septembre 2026 · Hold FY2025
353 AutoNation Inc AN · États-Unis $7.1B
68/100 Solide
39/100 29.7%low 11.8% 10 yr+ 4.3× 17% AutoNation: 78.3% of Q2 Gross Profit Comes From After-Sales and F&I, but $201.25 Offers No Margin of Safety1 septembre 2026 · Hold FY2025
354 Enersys ENS · États-Unis $6.8B
68/100 Solide
12.7%low 9.3% 10 yr+ 0.4× 26% FY2026
355 CarGurus CARG · États-Unis $3.3B
68/100 Solide
18.9%low 3.9% 10 yr+ 0.0× 82% FY2025
356 Sapiens International Corporation NV SPNS · États-Unis $2.4B
68/100 Solide
10.2%low 0.2% 10 yr+ Net cash 40% FY2024
357 Weibo Corp WB · États-Unis $2.0B
68/100 Solide
15.4%low 2.6% 10 yr+ Net cash 80% FY2025
358 360 Finance Inc QFIN · États-Unis $1.7B
68/100 Solide
27.8%low 19.5% 9 yr Net cash 1% FY2025
359 Ennis Inc EBF · États-Unis $546M
68/100 Solide
11.0%low 0.7% 10 yr+ Net cash 30% FY2026
360 Amgen Inc AMGN · États-Unis $208B
67/100 Solide
43/100 51.4%low 7.8% 10 yr+ 5.3× 76% Amgen Inc. Deep-Dive Value Investing Analysis21 mai 2026 · Watch FY2025
361 The TJX Companies Inc TJX · États-Unis $174B
67/100 Solide
43/100 50.0%low 1.5% 10 yr+ 0.7× 29% TJX: A Long-Term Owner's Perspective25 mai 2026 · Watch FY2026
362 Gilead Sciences Inc GILD · États-Unis $162B
67/100 Solide
47/100 24.9%low 0.7% 10 yr+ 0.6× 82% Gilead Sciences In-Depth Value Investment Research22 mai 2026 · Watch FY2025
363 Republic Services Inc RSG · États-Unis $65B
67/100 Solide
45/100 14.4%low 8.0% 10 yr+ 0.0× 31% Republic Services: An In-Depth Value Study26 mai 2026 · Watch FY2025
364 State Street Corp STT · États-Unis $51B
67/100 Solide
42/100 9.9%low 8.2% 10 yr+ Net cash 84% State Street Corporation: In-Depth Value Investing Research27 mai 2026 · Watch FY2025
365 Cboe Global Markets Inc CBOE · États-Unis $32B
67/100 Solide
47/100 19.0%low 6.8% 10 yr+ Net cash 50% Cboe Global Markets In-Depth Value Investment Analysis24 mai 2026 · Watch FY2025
366 United Therapeutics Corporation UTHR · États-Unis $26B
67/100 Solide
17.2%low -3.8% 6 yr Net cash 91% FY2025
367 Principal Financial Group Inc PFG · États-Unis $24B
67/100 Solide
41/100 14.8%low 5.7% 10 yr+ Net cash 46% Principal Financial Group: A Long-Term Business Owner's Perspective29 mai 2026 · Watch FY2025
368 Super Micro Computer Inc SMCI · États-Unis $18B
67/100 Solide
42/100 15.8%low 5.5% 10 yr+ Net cash 15% Super Micro Computer, a Zen Horizon Study: High AI-Server Torque Alongside a Governance Discount28 mai 2026 · Watch FY2025
369 Gaming & Leisure Properties GLPI · États-Unis $13B
67/100 Solide
37/100 16.9%low 11.9% 10 yr+ 1.6× 87% Gaming and Leisure Properties: AFFO Rose 10.1% While the Stock De-Rated to 9.8x, and PENN Still Writes 54.7% of the Rent14 septembre 2026 · Hold FY2025
370 Vail Resorts Inc MTN · États-Unis $5.3B
67/100 Solide
23.0%low 7.5% 10 yr+ 7.1× 43% FY2025
371 Group 1 Automotive Inc GPI · États-Unis $3.4B
67/100 Solide
19.7%low 11.6% 10 yr+ 2.1× 16% FY2025
372 McGrath RentCorp MGRC · États-Unis $2.8B
67/100 Solide
16.2%low 9.7% 10 yr+ 0.4× 45% FY2025
373 Patrick Industries Inc PATK · États-Unis $2.7B
67/100 Solide
21.9%low 11.4% 10 yr+ 1.4× 20% FY2025
374 Cadre Holdings Inc CDRE · États-Unis $1.3B
67/100 Solide
20.5%low 3.5% 6 yr 0.6× 39% FY2025
375 Hibbett Sports Inc HIBB · États-Unis $1.0B
67/100 Solide
20.4%low 8.3% 10 yr+ 0.8× 32% FY2024
376 Papa John's International Inc PZZA · États-Unis $984M
67/100 Solide
31.3%low 10.2% 10 yr+ 22% FY2025
377 PACCAR Inc PCAR · États-Unis $70B
66/100 Solide
40/100 19.5%low 7.7% 10 yr+ 0.3× 19% In-Depth Value Investing Research on PACCAR Inc22 mai 2026 · Watch FY2025
378 Cencora Inc. COR · États-Unis $61B
66/100 Solide
42/100 50.8%low 20.1% 5 yr 4.2× 3% Cencora Deep-Dive Value Investment Analysis27 mai 2026 · Watch FY2025
379 Roper Technologies Inc ROP · États-Unis $39B
66/100 Solide
48/100 10.6%low 7.4% 10 yr+ 0.5× 67% Roper Technologies Research from a Long-Term Owner's Perspective23 mai 2026 · Cautious Buy FY2025
380 Caseys General Stores Inc CASY · États-Unis $32B
66/100 Solide
42/100 16.9%low 14.5% 10 yr+ 0.6× 23% Casey's General Stores In-Depth Value Investing Analysis24 mai 2026 · Watch FY2026
381 VeriSign Inc VRSN · États-Unis $26B
66/100 Solide
47/100 10 yr+ 86% VeriSign From a Long-Term Owner's Perspective28 mai 2026 · Watch FY2025
382 Sterling Infrastructure, Inc. STRL · États-Unis $18B
66/100 Solide
44/100 16.9%low -8.6% 9 yr Net cash 14% Sterling Infrastructure: A 49% Organic Quarter, a 50% Drawdown, and Still 25 Times 2026 Earnings27 août 2026 · Hold FY2025
383 Gartner Inc IT · États-Unis $10B
66/100 Solide
49/100 42.4%low 0.3% 10 yr+ 5.9× 66% Gartner Long-Term Value Investment Research31 mai 2026 · Cautious Buy FY2025
384 Topbuild Corp BLD · États-Unis $9.9B
66/100 Solide
19.4%low 7.5% 10 yr+ 1.3× 27% FY2025
385 AAON Inc AAON · États-Unis $7.3B
66/100 Solide
19.4%low 12.0% 10 yr+ 0.5× 29% FY2025
386 Lamb Weston Holdings Inc LW · États-Unis $7.2B
66/100 Solide
44.7%low 15.9% 10 yr+ 2.1× 24% FY2026
387 Ingredion Incorporated INGR · États-Unis $6.3B
66/100 Solide
15.3%low 3.7% 10 yr+ 0.2× 22% FY2025
388 GigaCloud Technology Inc Class A Ordinary Shares GCT · États-Unis $1.6B
66/100 Solide
25.9%low 10.5% 7 yr 0.1× 23% FY2025
389 Arhaus Inc ARHS · États-Unis $1.0B
66/100 Solide
37.2%low 16.1% 7 yr 0.8× 40% FY2025
390 Vinci Partners Investments Ltd VINP · États-Unis $646M
66/100 Solide
30.5%low 6.1% 8 yr Net cash 78% FY2025
391 Gravity Co Ltd GRVY · États-Unis $430M
66/100 Solide
24.6%low -2.3% 9 yr Net cash 38% FY2025
392 Oracle Corporation ORCL · États-Unis $374B
65/100 Solide
52/100 46.3%low 7.8% 10 yr+ 2.9× 76% Oracle Corporation28 juillet 2026 · Hold FY2026
393 McKesson Corporation MCK · États-Unis $101B
65/100 Solide
44/100 25.5%low -105.3% 5 yr 5% McKesson: A Long-Term Owner's Perspective26 mai 2026 · Watch FY2026
394 Brookfield Asset Management Ltd. BAM · États-Unis $81B
65/100 Solide
23.4%low 1.6% 10 yr+ 0.2× 59% FY2025
395 NXP Semiconductors NV NXPI · États-Unis $58B
65/100 Solide
45/100 18.8%low 0.6% 10 yr+ 0.9× 53% NXP Semiconductors NV: A Deep Dive Through the Lens of a Long-Term Business Owner22 mai 2026 · Watch FY2025
396 Coca-Cola European Partners PLC CCEP · États-Unis $48B
65/100 Solide
43/100 15.5%low 8.3% 10 yr+ 1.2× 37% Coca-Cola Europacific Partners: A Deep Value Investing Analysis21 mai 2026 · Watch FY2025
397 Reliance Steel & Aluminum Co RS · États-Unis $21B
65/100 Solide
37/100 14.4%low 7.2% 10 yr+ 0.2× 28% Reliance: Q2's 5.3-Point Industry Beat Shrinks to 0.1 Point Without the Border Wall, and $387.59 Already Sits Inside the Base-Case Band30 août 2026 · Hold FY2025
398 Smith & Nephew SNATS Inc SNN · États-Unis $14B
65/100 Solide
10.8%low 4.2% 10 yr+ 0.5× 71% FY2025
399 Timken Company TKR · États-Unis $9.6B
65/100 Solide
38/100 14.8%low 9.1% 10 yr+ 0.6× 36% Timken: The Margin Transition Is Real, but the Price Already Assumes It's Finished8 juillet 2026 · Hold FY2025
400 Oshkosh Corporation OSK · États-Unis $8.8B
65/100 Solide
12.7%low 5.5% 10 yr+ 0.2× 16% FY2025