| 201 |
Super Micro Computer Inc
SMCI · EUA
|
$18B |
67/100
Forte
|
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 de maio de 2026 · Watch |
FY2025 |
| 202 |
Gaming & Leisure Properties
GLPI · EUA
|
$13B |
67/100
Forte
|
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 de setembro de 2026 · Hold |
FY2025 |
| 203 |
PACCAR Inc
PCAR · EUA
|
$70B |
66/100
Forte
|
40/100 |
19.5%low 7.7% |
10 yr+ |
0.3× |
19% |
In-Depth Value Investing Research on PACCAR Inc22 de maio de 2026 · Watch |
FY2025 |
| 204 |
Roper Technologies Inc
ROP · EUA
|
$39B |
66/100
Forte
|
48/100 |
10.6%low 7.4% |
10 yr+ |
0.5× |
67% |
Roper Technologies Research from a Long-Term Owner's Perspective23 de maio de 2026 · Cautious Buy |
FY2025 |
| 205 |
Caseys General Stores Inc
CASY · EUA
|
$32B |
66/100
Forte
|
42/100 |
16.9%low 14.5% |
10 yr+ |
0.6× |
23% |
Casey's General Stores In-Depth Value Investing Analysis24 de maio de 2026 · Watch |
FY2026 |
| 206 |
VeriSign Inc
VRSN · EUA
|
$26B |
66/100
Forte
|
47/100 |
— |
10 yr+ |
— |
86% |
VeriSign From a Long-Term Owner's Perspective28 de maio de 2026 · Watch |
FY2025 |
| 207 |
Sterling Infrastructure, Inc.
STRL · EUA
|
$18B |
66/100
Forte
|
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 de agosto de 2026 · Hold |
FY2025 |
| 208 |
Gartner Inc
IT · EUA
|
$10B |
66/100
Forte
|
49/100 |
42.4%low 0.3% |
10 yr+ |
5.9× |
66% |
Gartner Long-Term Value Investment Research31 de maio de 2026 · Cautious Buy |
FY2025 |
| 209 |
Brookfield Asset Management Ltd.
BAM · EUA
|
$81B |
65/100
Forte
|
— |
23.4%low 1.6% |
10 yr+ |
0.2× |
59% |
— |
FY2025 |
| 210 |
NXP Semiconductors NV
NXPI · EUA
|
$58B |
65/100
Forte
|
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 de maio de 2026 · Watch |
FY2025 |
| 211 |
Coca-Cola European Partners PLC
CCEP · EUA
|
$48B |
65/100
Forte
|
43/100 |
15.5%low 8.3% |
10 yr+ |
1.2× |
37% |
Coca-Cola Europacific Partners: A Deep Value Investing Analysis21 de maio de 2026 · Watch |
FY2025 |
| 212 |
Reliance Steel & Aluminum Co
RS · EUA
|
$21B |
65/100
Forte
|
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 de agosto de 2026 · Hold |
FY2025 |
| 213 |
Smith & Nephew SNATS Inc
SNN · EUA
|
$14B |
65/100
Forte
|
— |
10.8%low 4.2% |
10 yr+ |
0.5× |
71% |
— |
FY2025 |
| 214 |
Deere & Company
DE · EUA
|
$160B |
64/100
Médio
|
43/100 |
28.1%low 19.4% |
10 yr+ |
2.1× |
32% |
Deere & Company: A Long-Term Owner's Perspective25 de maio de 2026 · Watch |
FY2025 |
| 215 |
Salesforce.com Inc
CRM · EUA
|
$154B |
64/100
Médio
|
51/100 |
5.5%low 0.4% |
10 yr+ |
0.1× |
75% |
Salesforce: Agentforce ARR Grew 205% to 1.2 Billion Dollars, but Growth Excluding Informatica Was 8.75% and 184.02 Dollars Leaves No Margin of Safety1 de agosto de 2026 · Hold |
FY2026 |
| 216 |
Steel Dynamics Inc
STLD · EUA
|
$36B |
64/100
Médio
|
42/100 |
25.5%low 12.7% |
10 yr+ |
0.4× |
19% |
Steel Dynamics Deep Dive: An Excellent EAF Steelmaker, but the Market Already Prices It as a Quality Compounder27 de maio de 2026 · Watch |
FY2025 |
| 217 |
Textron Inc
TXT · EUA
|
$15B |
64/100
Médio
|
40/100 |
12.6%low 5.3% |
10 yr+ |
0.3× |
17% |
Textron Deep Value Investment Research30 de maio de 2026 · Watch |
FY2025 |
| 218 |
Leidos Holdings Inc
LDOS · EUA
|
$15B |
64/100
Médio
|
43/100 |
16.8%low 4.7% |
10 yr+ |
1.0× |
15% |
Leidos Holdings Deep Value Investment Research30 de maio de 2026 · Watch |
FY2025 |
| 219 |
Zebra Technologies Corporation
ZBRA · EUA
|
$14B |
64/100
Médio
|
46/100 |
15.1%low -17.3% |
9 yr |
0.8× |
46% |
Long-Term Value Investment Research on Zebra Technologies31 de maio de 2026 · Watch |
FY2025 |
| 220 |
Exelixis Inc
EXEL · EUA
|
$13B |
64/100
Médio
|
47/100 |
14.0%low -78.6% |
9 yr |
Net cash |
96% |
Exelixis: A Real Cabozantinib Cash Machine Pricing In an Unproven Second Act16 de julho de 2026 · Hold |
FY2025 |
| 221 |
Murphy USA Inc
MUSA · EUA
|
$11B |
64/100
Médio
|
— |
44.9%low 19.3% |
10 yr+ |
5.2× |
9% |
— |
FY2025 |
| 222 |
CACI International Inc
CACI · EUA
|
$11B |
64/100
Médio
|
43/100 |
12.1%low 8.9% |
10 yr+ |
0.8× |
8% |
CACI International: Fiscal 2026 Revenue Grew 7.2% Organically With Technology at 58.4% of Mix, and 606.85 USD Sits 6% Above the 570 USD Conservative Ceiling10 de setembro de 2026 · Hold |
FY2025 |
| 223 |
Mondelez International Inc
MDLZ · EUA
|
$80B |
63/100
Médio
|
42/100 |
12.7%low 6.5% |
10 yr+ |
0.8× |
38% |
MDLZ: Investment Research Through a Long-Term Business Owner's Lens22 de maio de 2026 · Watch |
FY2025 |
| 224 |
Elbit Systems Ltd
ESLT · EUA
|
$38B |
63/100
Médio
|
— |
11.3%low 7.4% |
10 yr+ |
0.0× |
26% |
— |
FY2025 |
| 225 |
STERIS plc
STE · EUA
|
$22B |
63/100
Médio
|
43/100 |
7.6%low 1.8% |
10 yr+ |
0.2× |
43% |
STERIS plc: A Long-Term Owner's Perspective29 de maio de 2026 · Watch |
FY2026 |
| 226 |
Tradeweb Markets Inc
TW · EUA
|
$22B |
63/100
Médio
|
— |
6.5%low 1.8% |
10 yr+ |
Net cash |
60% |
— |
FY2025 |
| 227 |
Intercontinental Exchange Inc
ICE · EUA
|
$86B |
62/100
Médio
|
49/100 |
11.2%low 6.4% |
10 yr+ |
0.6× |
56% |
Intercontinental Exchange from a Long-Term Business Owner's Perspective26 de maio de 2026 · Watch |
FY2025 |
| 228 |
Ciena Corp
CIEN · EUA
|
$53B |
62/100
Médio
|
43/100 |
11.5%low -17.9% |
7 yr |
0.1× |
44% |
Ciena: A Long-Term Value Investing Analysis24 de maio de 2026 · Watch |
FY2025 |
| 229 |
Jabil Circuit Inc
JBL · EUA
|
$33B |
62/100
Médio
|
39/100 |
24.4%low 3.0% |
10 yr+ |
0.9× |
8% |
Jabil Inc.: An In-Depth Value Investing Analysis27 de maio de 2026 · Watch |
FY2025 |
| 230 |
Companhia de Saneamento Basico do Estado de Sao Paulo SABESP ADR
SBS · EUA
|
$19B |
62/100
Médio
|
— |
19.0%low 4.3% |
10 yr+ |
0.7× |
40% |
— |
FY2025 |
| 231 |
TPG Inc
TPG · EUA
|
$17B |
62/100
Médio
|
— |
22.4%low 3.0% |
8 yr |
0.8× |
98% |
— |
FY2025 |
| 232 |
DaVita HealthCare Partners Inc
DVA · EUA
|
$15B |
62/100
Médio
|
41/100 |
27.6%low 3.2% |
10 yr+ |
10.4× |
29% |
DaVita In-Depth Value Investing Research30 de maio de 2026 · Watch |
FY2025 |
| 233 |
The Ensign Group Inc
ENSG · EUA
|
$10B |
62/100
Médio
|
— |
15.5%low 8.2% |
10 yr+ |
1.6× |
15% |
— |
FY2025 |
| 234 |
ServiceNow Inc
NOW · EUA
|
$115B |
61/100
Médio
|
51/100 |
-4.1%low -116.8% |
7 yr |
Net cash |
77% |
ServiceNow: A Value Investing Study25 de maio de 2026 · Watch |
FY2025 |
| 235 |
Celestica Inc.
CLS · EUA
|
$39B |
61/100
Médio
|
49/100 |
12.8%low 4.3% |
10 yr+ |
0.1× |
8% |
Celestica Inc. Deep-Dive Research12 de junho de 2026 · Hold |
FY2025 |
| 236 |
Advanced Energy Industries Inc
AEIS · EUA
|
$12B |
61/100
Médio
|
— |
17.0%low 4.5% |
10 yr+ |
Net cash |
42% |
— |
FY2025 |
| 237 |
Flex Ltd
FLEX · EUA
|
$42B |
60/100
Médio
|
40/100 |
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 Rerating22 de julho de 2026 · Hold |
FY2026 |
| 238 |
Globus Medical
GMED · EUA
|
$11B |
60/100
Médio
|
— |
9.1%low 2.5% |
10 yr+ |
Net cash |
72% |
— |
FY2025 |
| 239 |
Northern Trust Corporation
NTRS · EUA
|
$33B |
59/100
Médio
|
43/100 |
10.3%low 0.7% |
10 yr+ |
Net cash |
82% |
Northern Trust: A Study of Custody-Banking and Wealth-Management Infrastructure28 de maio de 2026 · Watch |
FY2025 |
| 240 |
Laboratory Corporation of America Holdings
LH · EUA
|
$25B |
59/100
Médio
|
44/100 |
13.3%low 5.3% |
10 yr+ |
0.8× |
31% |
Labcorp Holdings: A Value-Investing Deep Dive29 de maio de 2026 · Watch |
FY2025 |
| 241 |
SharkNinja, Inc.
SN · EUA
|
$23B |
59/100
Médio
|
— |
22.1%‡low 15.3% |
8 yr |
0.0× |
45% |
— |
FY2025 |
| 242 |
Ball Corporation
BALL · EUA
|
$17B |
59/100
Médio
|
39/100 |
20.8%low 7.7% |
10 yr+ |
1.1× |
16% |
— |
FY2025 |
| 243 |
Texas Roadhouse Inc
TXRH · EUA
|
$14B |
59/100
Médio
|
— |
20.6%low 3.4% |
10 yr+ |
1.2× |
17% |
— |
FY2025 |
| 244 |
Coca-Cola Consolidated Inc.
COKE · EUA
|
$13B |
59/100
Médio
|
— |
24.0%low -5.6% |
7 yr |
— |
37% |
— |
FY2025 |
| 245 |
Amkor Technology Inc
AMKR · EUA
|
$12B |
59/100
Médio
|
30/100 |
12.4%low 6.2% |
10 yr+ |
Net cash |
17% |
Amkor (AMKR) Zen Horizon Report5 de junho de 2026 · Watch |
FY2025 |
| 246 |
Smithfield Foods, Inc. Common Stock
SFD · EUA
|
$10B |
59/100
Médio
|
— |
10.5%low 0.2% |
10 yr+ |
0.1× |
11% |
— |
FY2025 |
| 247 |
CRH PLC ADR
CRH · EUA
|
$63B |
58/100
Médio
|
43/100 |
12.0%low 5.4% |
10 yr+ |
0.7× |
33% |
CRH plc: An Investment Study Through the Lens of a Long-Term Business Owner26 de maio de 2026 · Cautious Buy |
FY2025 |
| 248 |
Nucor Corp
NUE · EUA
|
$59B |
58/100
Médio
|
41/100 |
19.8%low 6.7% |
10 yr+ |
0.2× |
17% |
Nucor Corporation Investment Research Report27 de maio de 2026 · Watch |
FY2025 |
| 249 |
Chipotle Mexican Grill Inc
CMG · EUA
|
$47B |
58/100
Médio
|
43/100 |
26.8%low 1.6% |
10 yr+ |
3.1× |
21% |
Chipotle Mexican Grill: A Long-Term Value Investment Analysis24 de maio de 2026 · Watch |
FY2025 |
| 250 |
Royalty Pharma Plc
RPRX · EUA
|
$34B |
58/100
Médio
|
— |
16.4%low 0.8% |
10 yr+ |
1.3× |
100% |
— |
FY2025 |
| 251 |
Gen Digital Inc.
GEN · EUA
|
$16B |
58/100
Médio
|
47/100 |
29.3%low -3.0% |
9 yr |
3.0× |
81% |
Gen Digital In-Depth Value Investment Research30 de maio de 2026 · Watch |
FY2026 |
| 252 |
Nasdaq Inc
NDAQ · EUA
|
$53B |
57/100
Médio
|
50/100 |
12.2%low 2.0% |
10 yr+ |
0.7× |
40% |
Nasdaq Investment Memo27 de maio de 2026 · Watch |
FY2025 |
| 253 |
Iron Mountain Incorporated
IRM · EUA
|
$36B |
57/100
Médio
|
47/100 |
29.6%low 5.4% |
10 yr+ |
— |
54% |
Iron Mountain Deep Dive: A Hybrid REIT with High Retention, High Leverage, and High Capital Spending27 de maio de 2026 · Watch |
FY2025 |
| 254 |
SS&C Technologies Holdings Inc
SSNC · EUA
|
$18B |
57/100
Médio
|
46/100 |
9.6%low 2.3% |
10 yr+ |
0.6× |
46% |
SS&C Technologies: A Sticky Cash Engine, Not Yet Cheap Enough18 de julho de 2026 · Hold |
FY2025 |
| 255 |
Vulcan Materials Company
VMC · EUA
|
$35B |
56/100
Médio
|
43/100 |
10.7%low 8.3% |
10 yr+ |
0.6× |
26% |
Vulcan Materials Company: In-Depth Value Investing Analysis28 de maio de 2026 · Watch |
FY2025 |
| 256 |
Neurocrine Biosciences Inc
NBIX · EUA
|
$17B |
56/100
Médio
|
— |
1.8%low -44.8% |
8 yr |
Net cash |
99% |
— |
FY2025 |
| 257 |
Jones Lang LaSalle Incorporated
JLL · EUA
|
$16B |
56/100
Médio
|
— |
9.9%low 3.6% |
10 yr+ |
0.4× |
64% |
— |
FY2025 |
| 258 |
Nextracker Inc. Class A Common Stock
NXT · EUA
|
$14B |
56/100
Médio
|
41/100 |
25.2%low -0.4% |
7 yr |
Net cash |
21% |
Nextpower Inc: Tracker Leadership Is Real, the Platform Premium Still Has to Be Earned25 de agosto de 2026 · Hold |
FY2026 |
| 259 |
Moog Inc
MOG-A · EUA
|
$12B |
56/100
Médio
|
35/100 |
10.2%low 0.7% |
10 yr+ |
0.4× |
27% |
Moog Long-Term Owner's View Research3 de junho de 2026 · Watch |
FY2025 |
| 260 |
Qualcomm Incorporated
QCOM · EUA
|
$155B |
55/100
Médio
|
46/100 |
-17.1%low -534.9% |
7 yr |
0.2× |
58% |
Qualcomm Incorporated: Mispricing, Value Trap, or Transition Discount?7 de agosto de 2026 · Hold |
FY2025 |
| 261 |
DexCom Inc
DXCM · EUA
|
$31B |
55/100
Médio
|
48/100 |
9.5%low -23.1% |
7 yr |
Net cash |
65% |
DexCom Investment Research Report22 de maio de 2026 · Watch |
FY2025 |
| 262 |
Zoom Video Communications Inc
ZM · EUA
|
$28B |
55/100
Médio
|
— |
10.6%low -0.0% |
8 yr |
Net cash |
77% |
— |
FY2026 |
| 263 |
SPX Corp
SPXC · EUA
|
$11B |
55/100
Médio
|
— |
10.5%low -44.5% |
9 yr |
0.1× |
34% |
— |
FY2025 |
| 264 |
Interactive Brokers Group Inc
IBKR · EUA
|
$149B |
54/100
Médio
|
52/100 |
2.9%low 1.2% |
10 yr+ |
Net cash |
78% |
Interactive Brokers: A Long-Term Owner's View25 de maio de 2026 · Watch |
FY2025 |
| 265 |
Westinghouse Air Brake Technologies Corp
WAB · EUA
|
$49B |
54/100
Médio
|
44/100 |
8.1%low 3.3% |
10 yr+ |
0.4× |
30% |
Wabtec: A Long-Term Business-Owner's Analysis27 de maio de 2026 · Watch |
FY2025 |
| 266 |
Synnex Corporation
SNX · EUA
|
$20B |
54/100
Médio
|
— |
9.8%low 5.0% |
10 yr+ |
0.3× |
8% |
— |
FY2025 |
| 267 |
Quanta Services Inc
PWR · EUA
|
$100B |
53/100
Médio
|
43/100 |
9.7%low 5.9% |
10 yr+ |
0.7× |
13% |
Quanta Services: A Long-Term Owner's Perspective25 de maio de 2026 · Watch |
FY2025 |
| 268 |
Sumitomo Electric Industries Ltd ADR
SMTOY · EUA
|
$41B |
53/100
Médio
|
40/100 |
7.2%low 3.5% |
10 yr+ |
0.2× |
18% |
Sumitomo Electric Industries: The Transition Is Real, But So Is the Price15 de julho de 2026 · Hold |
FY2026 |
| 269 |
IQVIA Holdings Inc
IQV · EUA
|
$39B |
53/100
Médio
|
45/100 |
13.0%low 1.3% |
10 yr+ |
2.2× |
33% |
IQVIA Holdings: A Deep-Dive Value Investing Study28 de maio de 2026 · Watch |
FY2025 |
| 270 |
American Water Works
AWK · EUA
|
$27B |
53/100
Médio
|
39/100 |
10.6%low 7.9% |
10 yr+ |
1.5× |
56% |
— |
FY2025 |
| 271 |
SBA Communications Corp
SBAC · EUA
|
$19B |
53/100
Médio
|
45/100 |
10.1%‡low 6.5% |
10 yr+ |
— |
72% |
SBA Communications Value Investing Analysis29 de maio de 2026 · Watch |
FY2025 |
| 272 |
Rogers Communications Inc
RCI · EUA
|
$18B |
53/100
Médio
|
30/100 |
19.8%low 8.1% |
10 yr+ |
2.4× |
40% |
Rogers Communications: A Long-Term Owner's Perspective3 de junho de 2026 · Watch |
FY2025 |
| 273 |
Alliant Energy Corp
LNT · EUA
|
$18B |
53/100
Médio
|
38/100 |
10.8%low 9.9% |
10 yr+ |
1.6× |
40% |
Alliant Energy LNT Research from a Long-Term Business Owner's Perspective30 de maio de 2026 · Watch |
FY2025 |
| 274 |
Insulet Corporation
PODD · EUA
|
$11B |
53/100
Médio
|
51/100 |
3.8%low -45.7% |
8 yr |
0.2× |
65% |
Insulet Corporation: A Long-Term Owner's Perspective31 de maio de 2026 · Watch |
FY2025 |
| 275 |
Waste Connections Inc
WCN · EUA
|
$42B |
52/100
Médio
|
— |
8.5%low 3.0% |
10 yr+ |
1.1× |
41% |
— |
FY2025 |
| 276 |
CF Industries Holdings Inc
CF · EUA
|
$19B |
52/100
Médio
|
40/100 |
20.4%low -4.3% |
9 yr |
0.4× |
30% |
CF Industries: A Long-Term Value Investing Analysis24 de maio de 2026 · Watch |
FY2025 |
| 277 |
Equinix Inc
EQIX · EUA
|
$101B |
51/100
Médio
|
46/100 |
5.5%low 2.9% |
10 yr+ |
1.4× |
49% |
Equinix Long-Term Owner's Perspective Research25 de maio de 2026 · Watch |
FY2025 |
| 278 |
Cigna Corp
CI · EUA
|
$74B |
51/100
Médio
|
42/100 |
12.5%low 6.4% |
10 yr+ |
0.6× |
19% |
The Cigna Group Long-Term Value Investment Analysis24 de maio de 2026 · Watch |
FY2025 |
| 279 |
ONEOK Inc
OKE · EUA
|
$57B |
51/100
Médio
|
42/100 |
21.6%low 7.0% |
10 yr+ |
1.5× |
20% |
ONEOK In-Depth Value Investing Analysis27 de maio de 2026 · Cautious Buy |
FY2025 |
| 280 |
WEC Energy Group Inc
WEC · EUA
|
$36B |
51/100
Médio
|
42/100 |
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 In27 de maio de 2026 · Watch |
FY2025 |
| 281 |
BCE Inc
BCE · EUA
|
$20B |
50/100
Médio
|
— |
14.5%low 2.0% |
10 yr+ |
1.8× |
56% |
— |
FY2025 |
| 282 |
WESCO International Inc
WCC · EUA
|
$17B |
50/100
Médio
|
— |
11.0%low 3.0% |
10 yr+ |
1.2× |
20% |
— |
FY2025 |
| 283 |
Clean Harbors Inc
CLH · EUA
|
$17B |
50/100
Médio
|
— |
11.0%low -3.7% |
9 yr |
0.9× |
31% |
— |
FY2025 |
| 284 |
Omega Healthcare Investors Inc
OHI · EUA
|
$16B |
50/100
Médio
|
— |
8.1%low 2.8% |
10 yr+ |
0.8× |
94% |
— |
FY2025 |
| 285 |
Futu Holdings Ltd
FUTU · EUA
|
$15B |
50/100
Médio
|
49/100 |
6.3%low -70.9% |
8 yr |
Net cash |
76% |
Futu Holdings In-Depth Research Report24 de maio de 2026 · Watch |
FY2025 |
| 286 |
Dycom Industries Inc
DY · EUA
|
$13B |
50/100
Médio
|
— |
14.6%low 4.2% |
10 yr+ |
1.2× |
14% |
— |
FY2026 |
| 287 |
Johnson Controls International PLC
JCI · EUA
|
$89B |
49/100
Fraco
|
36/100 |
8.7%low -3.4% |
9 yr |
0.8× |
33% |
— |
FY2025 |
| 288 |
Charter Communications Inc
CHTR · EUA
|
$20B |
49/100
Fraco
|
37/100 |
25.0%low 3.4% |
10 yr+ |
6.0× |
37% |
— |
FY2025 |
| 289 |
XPO Logistics Inc
XPO · EUA
|
$24B |
48/100
Fraco
|
— |
18.9%low 2.6% |
10 yr+ |
2.4× |
12% |
— |
FY2025 |
| 290 |
UDR Inc
UDR · EUA
|
$14B |
48/100
Fraco
|
39/100 |
5.2%low 1.6% |
10 yr+ |
1.9× |
23% |
UDR Deep Value Investment Research30 de maio de 2026 · Watch |
FY2025 |
| 291 |
Nextera Energy Inc
NEE · EUA
|
$181B |
46/100
Fraco
|
43/100 |
13.1%low 8.0% |
10 yr+ |
1.7× |
57% |
NextEra Energy: A Long-Term Owner's Perspective25 de maio de 2026 · Watch |
FY2025 |
| 292 |
Ameren Corp
AEE · EUA
|
$30B |
46/100
Fraco
|
38/100 |
9.8%low 7.3% |
10 yr+ |
1.5× |
44% |
— |
FY2025 |
| 293 |
T-Mobile US Inc
TMUS · EUA
|
$185B |
45/100
Fraco
|
46/100 |
11.4%low 3.7% |
10 yr+ |
2.0× |
57% |
T-Mobile Long-Term Owner's View Research23 de maio de 2026 · Watch |
FY2025 |
| 294 |
Petroleo Brasileiro Petrobras SA ADR
PBR · EUA
|
$123B |
45/100
Fraco
|
— |
17.1%low -6.2% |
8 yr |
0.8× |
44% |
— |
FY2025 |
| 295 |
Wheaton Precious Metals Corp
WPM · EUA
|
$51B |
45/100
Fraco
|
49/100 |
7.8%low 1.2% |
10 yr+ |
Net cash |
54% |
Wheaton Precious Metals In-Depth Research31 de maio de 2026 · Hold |
FY2025 |
| 296 |
Ares Management LP
ARES · EUA
|
$42B |
45/100
Fraco
|
52/100 |
13.9%low 5.2% |
10 yr+ |
3.1× |
60% |
Ares Management: A Deep Dive into the Alternative Asset Management Platform23 de maio de 2026 · Watch |
FY2025 |
| 297 |
United Microelectronics
UMC · EUA
|
$47B |
44/100
Fraco
|
— |
11.4%low 3.7% |
10 yr+ |
Net cash |
27% |
— |
FY2025 |
| 298 |
American Electric Power Co Inc
AEP · EUA
|
$70B |
42/100
Fraco
|
40/100 |
9.7%low 3.5% |
10 yr+ |
1.6× |
28% |
American Electric Power In-Depth Value Investment Analysis21 de maio de 2026 · Watch |
FY2025 |
| 299 |
Coterra Energy Inc
CTRA · EUA
|
$25B |
42/100
Fraco
|
— |
13.0%low -16.2% |
9 yr |
0.3× |
37% |
— |
FY2025 |
| 300 |
Kinder Morgan Inc
KMI · EUA
|
$72B |
41/100
Fraco
|
43/100 |
5.5%low 0.5% |
10 yr+ |
1.0× |
50% |
Kinder Morgan: A Long-Term Owner's Perspective26 de maio de 2026 · Watch |
FY2025 |