Stock screener

Filter companies on what they actually reported. Every column is computed from SEC EDGAR filings, so the screen reflects the business rather than the day’s share price.

181 of 181 companies
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AMZN
AMAZON COM INC
$776B+15.8%12.1%-1.5%14%30.6%0.24$9.6B+1.1%
WMT
Walmart Inc.
$736B+6.2%25.2%4.4%1.8%8%23.4%0.51$38.9B-0.5%
AAPL
Apple Inc.
$467B+14.2%48.7%33.2%29.3%44%148.8%0.78$21.9B-1.7%
UNH
UNITEDHEALTH GROUP INC
$450B+6.5%88.6%4.8%13.8%0.70$41.9B-0.9%
GOOGL
Alphabet Inc.
$446B+20.1%60.9%33.1%11.9%32%48.7%0.16-$142B+1.0%
CVS
CVS HEALTH Corp
$415B+7.4%2.0%2.8%10%6.2%0.77$47.5B+0.8%
XOM
ExxonMobil Holdings Corp
$369B+9.1%8.3%17%12.6%0.18$34.8B-3.5%
MSFT
MICROSOFT CORP
$332B+17.8%67.9%46.8%20.2%38%34.0%0.09-$36.5B-0.1%
NVDA
NVIDIA CORP
$303B+83.4%74.7%65.2%41.9%125%117.2%0.15-$38.2B-0.8%
COST
COSTCO WHOLESALE CORP /NEW
$294B+9.2%3.8%3.0%12%29.2%0.17-$14.3B+0.0%
CI
Cigna Group
$282B+7.8%20.6%3.5%15.0%0.77$25.6B-1.0%
META
Meta Platforms, Inc.
$228B+27.7%81.7%38.1%18.0%46%29.8%0.32-$6.6B-0.2%
CVX
CHEVRON CORP
$215B+10.2%45.4%12.5%23%12.2%0.20$27.5B+14.3%
ELV
Elevance Health, Inc.
$201B+6.3%89.1%2.7%11.2%0.69-$4.9B-3.7%
JPM
JPMORGAN CHASE & CO
$199B+13.5%17.8%1.42$223B-3.3%
HD
HOME DEPOT, INC.
$169B+2.5%33.2%12.4%8.9%11%104.3%3.18$50.8B+0.2%
MPC
Marathon Petroleum Corp
$154B+15.0%12.5%9.2%8.4%23%47.9%1.72$25.0B-7.6%
PSX
Phillips 66
$152B+14.4%13.1%5.9%20%24.0%0.65$16.5B-1.3%
KR
KROGER CO
$149B+1.6%1.4%1.6%3%14.3%2.63$13.7B-10.9%
VLO
VALERO ENERGY CORP/TX
$139B+12.6%7.2%7.5%20%29.4%0.45$3.5B-7.3%
VZ
VERIZON COMMUNICATIONS INC
$139B+1.4%20.5%27.9%29%15.8%1.57$164B-1.5%
T
AT&T INC.
$127B+2.6%20.1%13.9%16%17.4%1.14$126B-4.2%
CMCSA
COMCAST CORP
$125B+0.6%14.7%16.4%17%12.0%1.01$82.7B-4.2%
BAC
BANK OF AMERICA CORP /DE/
$121B+9.7%11.2%1.33$170B-5.6%
TGT
TARGET CORP
$108B+2.0%5.6%4.1%6%26.4%0.86$5.3B-0.0%
TSLA
Tesla, Inc.
$104B+11.8%18.9%4.2%5.6%17%4.6%0.09-$35.8B+22.4%
DIS
Walt Disney Co
$98.9B+4.6%18.4%8.4%13%7.8%0.42$40.9B-4.0%
JNJ
JOHNSON & JOHNSON
$97.9B+8.1%67.9%22.7%31%25.7%0.60$30.3B+0.1%
PEP
PEPSICO INC
$96.9B+5.6%54.0%14.8%9.6%15%51.6%2.48$44.1B-0.3%
FDX
FEDEX CORP
$94.7B+7.7%5.8%5.4%13%0.0%0.81$12.4B+0.3%
BA
BOEING CO
$94.0B+24.8%4.7%4.9%-0.2%25%173.6%7.47$25.6B+4.5%
RTX
RTX Corp
$93.5B+11.8%11.2%12.2%24%12.0%0.56$28.4B+0.7%
TMUS
T-Mobile US, Inc.
$92.2B+9.7%19.8%20.0%30%18.0%1.55$84.4B-4.7%
PGR
PROGRESSIVE CORP/OH/
$91.1B+10.5%34.9%0.00-$2.2B-0.8%
LOW
LOWES COMPANIES INC
$90.4B+8.2%33.1%11.4%7.7%16%$34.5B+0.0%
MU
MICRON TECHNOLOGY INC
$90.3B+167.0%72.6%65.6%29.0%196%66.6%0.06-$20.3B+0.9%
UPS
UNITED PARCEL SERVICE INC
$89.9B-0.4%7.3%6.1%6%29.7%1.63$19.8B+0.5%
AVGO
Broadcom Inc.
$89.1B+48.7%68.8%48.0%44.2%93%44.2%0.60$35.4B+1.1%
PG
PROCTER & GAMBLE Co
$87.0B+3.3%50.2%22.7%17.4%21%30.1%0.54$19.4B-0.8%
WFC
WELLS FARGO & COMPANY/MN
$86.8B+6.2%12.5%1.15$5.8B-5.6%
C
CITIGROUP INC
$85.2B+5.6%6.8%1.73$18.1B-7.2%
SYY
SYSCO CORP
$84.6B+3.9%18.5%3.7%2.3%6%78.1%5.07$11.7B+0.2%
LLY
ELI LILLY & Co
$79.7B+49.6%83.4%35.3%85%102.4%1.62$45.8B-0.5%
MET
METLIFE INC
$79.4B+8.7%8.3%12.4%0.54-$12.6B-4.4%
MS
MORGAN STANLEY
$78.0B+18.0%18.0%3.29$223B-1.6%
LMT
LOCKHEED MARTIN CORP
$77.0B+7.2%11.8%11.9%11.3%19%89.2%2.34$16.7B-1.1%
HCA
HCA Healthcare, Inc.
$76.4B+6.7%10.4%17%$47.1B-7.8%
AXP
AMERICAN EXPRESS CO
$76.0B+10.7%34.4%1.72$13.5B-3.0%
CAT
CATERPILLAR INC
$74.7B+18.4%17.5%14.3%33%57.0%1.87$29.5B-1.9%
ACN
Accenture plc
$73.1B+6.7%32.0%14.5%17.2%24%24.9%0.16-$4.9B-2.4%
ORCL
ORACLE CORP
$71.8B+21.6%32.1%-40.0%-18%41.6%0.11-$29.9B+6.4%
ALL
ALLSTATE CORP
$70.1B+5.9%45.7%0.22$1.9B-4.0%
IBM
INTERNATIONAL BUSINESS MACHINES CORP
$69.1B+7.9%58.1%20.0%28%34.6%1.97$60.6B+1.1%
MRK
Merck & Co., Inc.
$66.6B+4.6%73.0%24.1%29%7.0%1.29$46.8B-1.2%
GS
GOLDMAN SACHS GROUP INC
$66.2B+17.8%17.0%0.59-$115B-3.8%
PRU
PRUDENTIAL FINANCIAL INC
$64.8B+9.4%12.6%0.65$5.5B-2.0%
ABBV
AbbVie Inc.
$64.4B+10.4%26.2%28.3%39%$64.2B+0.0%
PFE
PFIZER INC
$63.7B-0.2%73.2%17.2%17%5.0%0.74$54.9B+0.2%
COP
CONOCOPHILLIPS
$63.3B+9.6%62.0%34.6%44%14.2%0.36$15.6B-3.8%
CSCO
CISCO SYSTEMS, INC.
$63.3B+11.8%64.5%24.3%20.2%32%27.3%0.45$7.0B-0.3%
TJX
TJX COMPANIES INC /DE/
$62.4B+7.7%9.4%17%62.2%0.27-$3.1B-1.2%
COF
CAPITAL ONE FINANCIAL CORP
$62.0B+45.3%9.4%0.40-$10.5B-4.1%
CB
Chubb Ltd
$60.8B+8.2%16.2%0.24$14.8B-3.2%
INTC
INTEL CORP
$57.0B+7.5%38.6%-0.1%5.0%12%-12.2%0.58$20.8B+15.2%
CHTR
CHARTER COMMUNICATIONS, INC. /MO/
$54.4B-1.5%23.3%8.0%7%29.7%5.61$94.6B-14.4%
GE
GENERAL ELECTRIC CO
$50.6B+21.7%16.6%38%48.8%1.09$9.8B-2.2%
KO
COCA COLA CO
$49.3B+5.1%61.7%29.3%25.5%31%45.8%1.30$33.2B-0.0%
BMY
BRISTOL MYERS SQUIBB CO
$49.2B+3.1%23.3%26%46.7%1.97$32.8B+0.4%
TRV
TRAVELERS COMPANIES, INC.
$49.0B+2.4%26.5%0.01-$221M-7.4%
NFLX
NETFLIX INC
$48.4B+16.0%29.7%23.1%39%49.5%0.47$5.2B+879.9%
DE
DEERE & CO
$48.0B+8.0%12.5%21%18.3%0.61$8.2B-0.3%
NKE
NIKE, Inc.
$46.4B+0.2%42.9%4.7%5%22.1%0.53$379M+0.1%
TMO
THERMO FISHER SCIENTIFIC INC.
$46.3B+7.2%17.6%15.8%23%13.5%0.80$38.2B-2.1%
ABT
ABBOTT LABORATORIES
$45.1B+6.6%17.1%16.3%23%12.4%0.65$26.8B+0.1%
QCOM
QUALCOMM INC/DE
$44.1B+1.9%54.2%23.2%23.6%26%33.8%0.48$5.0B-2.7%
CRM
Salesforce, Inc.
$43.9B+11.2%77.3%19.9%34.5%46%19.4%1.02$27.9B-13.6%
DG
DOLLAR GENERAL CORP
$43.6B+4.8%31.2%5.6%4.6%9%19.7%0.49$3.0B+0.2%
V
VISA INC.
$43.0B+14.4%61.1%49.2%64%60.3%0.67$11.6B
PM
Philip Morris International Inc.
$42.5B+8.9%67.5%37.7%29.9%39%$43.1B+0.1%
AMD
ADVANCED MICRO DEVICES INC
$41.3B+39.5%53.2%15.7%20.3%60%10.1%0.06-$9.0B+0.6%
OKE
ONEOK INC /NEW/
$39.4B+40.8%15.5%16.3%1.44$32.9B+0.1%
DOW
DOW INC.
$39.3B-7.7%-0.6%-8%-16.7%1.18$13.9B+2.0%
MDLZ
Mondelez International, Inc.
$39.3B+7.8%28.8%9.4%6.6%14%10.1%0.82$19.4B-0.9%
SBUX
STARBUCKS CORP
$38.3B+4.5%7.8%9.5%14%$9.7B+0.3%
AMGN
AMGEN INC
$38.1B+9.1%30.0%26.7%36%91.5%4.90$43.3B+0.4%
HON
HONEYWELL INTERNATIONAL INC
$38.1B+5.0%36.3%20.7%10.5%16%47.4%1.83$24.8B-50.1%
MDT
Medtronic plc
$37.5B+9.8%18.1%16.3%26%0.9%0.56$19.3B-0.3%
SLB
SLB LIMITED/NV
$36.4B+2.5%13.2%16%13.4%0.43+9.8%
NUE
NUCOR CORP
$36.1B+17.2%4.4%22%13.6%0.32$4.4B-1.2%
LIN
LINDE PLC
$35.4B+6.6%26.5%14.0%21%18.7%0.72$23.1B-1.7%
MA
Mastercard Inc
$35.1B+16.0%58.3%47.6%64%241.5%4.39$13.4B-2.9%
CMI
CUMMINS INC
$34.7B+2.9%25.3%11.2%9.7%13%23.0%0.56$3.3B-0.1%
DUK
Duke Energy CORP
$33.2B+7.2%27.2%9.8%1.66$88.1B+0.3%
AMAT
APPLIED MATERIALS INC /DE
$30.8B+7.8%49.4%29.6%18.2%26%41.1%0.30-$1.5B-0.4%
GILD
GILEAD SCIENCES, INC.
$30.5B+5.5%-8.2%42.5%48%-20.6%2.22$23.1B-0.1%
SO
SOUTHERN CO
$30.2B+8.3%24.2%11.3%1.87$73.5B+2.6%
ETN
Eaton Corp plc
$30.0B+15.5%35.9%13.1%29%19.7%1.02$19.9B-0.2%
USB
US BANCORP \DE\
$29.7B+6.7%12.7%1.42$29.5B+0.1%
APH
AMPHENOL CORP /DE/
$29.0B+54.2%38.5%27.0%16.2%70%38.1%1.21$13.4B+1.0%
BKNG
Booking Holdings Inc.
$28.2B+12.9%32.9%33.8%47%$3.0B+2218.4%
NEE
NEXTERA ENERGY INC
$27.9B+10.3%29.5%15.6%1.79$97.0B+1.3%
PCAR
PACCAR INC
$27.8B-10.6%20.0%13.3%3%12.8%+0.2%
MCD
MCDONALDS CORP
$27.7B+6.3%46.2%28.0%34%$40.6B-0.8%
CCL
Carnival Corp Ltd.
$27.3B+5.2%37.9%16.3%11.7%17%26.7%1.92$22.6B+17.3%
BLK
BlackRock, Inc.
$27.3B+95.6%32.6%12.3%0.22$2.3B+0.2%
EOG
EOG RESOURCES INC
$27.0B+19.1%32.9%49.4%68%22.5%0.25$3.0B-3.9%
MAR
MARRIOTT INTERNATIONAL INC /MD/
$26.9B+4.7%15.8%11.6%16%-$439M-3.9%
AIG
AMERICAN INTERNATIONAL GROUP, INC.
$26.6B-4.2%7.2%0.23$7.6B-5.6%
SCHW
SCHWAB CHARLES CORP
$26.0B+20.3%2.5%0.73-$4.0B-4.7%
ADBE
ADOBE INC.
$26.0B+12.0%89.3%35.7%40.8%53%61.9%0.41-$873M-7.0%
FCX
FREEPORT-MCMORAN INC
$25.9B+0.2%27.1%26.8%11.1%11%11.7%0.47$5.3B+0.0%
SYK
STRYKER CORP
$25.8B+8.5%65.0%21.4%18.2%27%16.5%0.63$11.7B+0.3%
NEM
NEWMONT Corp /DE/
$25.8B+25.2%37.8%63%25.5%0.14-$3.9B-4.1%
UNP
UNION PACIFIC CORP
$25.4B+4.2%40.0%25.6%30%39.7%1.47$28.7B+0.2%
MMM
3M CO
$25.2B+2.3%39.4%18.4%15.8%18%82.8%4.25$9.6B-3.2%
DHR
DANAHER CORP /DE/
$25.1B+4.6%58.5%20.4%21.8%26%7.6%0.51$22.2B-1.8%
PNC
PNC FINANCIAL SERVICES GROUP, INC.
$25.0B+13.2%12.6%1.34$57.0B+1.3%
EXC
EXELON CORP
$24.8B+4.6%21.0%9.8%1.73$50.1B+1.4%
ROST
ROSS STORES, INC.
$24.5B+14.0%29.7%13.7%11.4%25%42.6%0.15-$3.3B-1.8%
SHW
SHERWIN WILLIAMS CO
$24.4B+5.8%49.0%13.2%19%65.1%3.13$11.8B-2.6%
MO
ALTRIA GROUP, INC.
$23.5B-0.6%63.0%46.8%38.8%38%$22.2B-0.6%
LRCX
LAM RESEARCH CORP
$23.2B+26.0%50.5%35.3%21.1%47%65.1%0.30-$1.9B-1.1%
OXY
OCCIDENTAL PETROLEUM CORP /DE/
$21.7B+7.3%77.0%22.1%29%18.9%0.33$9.6B+1.5%
PH
Parker-Hannifin Corp
$21.5B+8.3%23.6%18.2%26%25.1%0.55$8.0B-0.5%
INTU
INTUIT INC.
$21.4B+13.9%27.4%40.4%54%23.6%0.40$3.0B-4.1%
CL
COLGATE PALMOLIVE CO
$21.0B+5.2%60.4%14.9%18.3%24%434.3%37.87$7.5B-1.4%
BSX
BOSTON SCIENTIFIC CORP
$21.0B+13.5%69.9%19.8%17.3%31%15.5%0.51$12.1B-2.2%
DLTR
DOLLAR TREE, INC.
$20.1B+8.2%35.1%11.0%9.9%18%45.9%0.86$1.9B-8.0%
AZO
AUTOZONE INC
$20.0B+5.7%51.8%18.0%8.2%14%$8.8B-2.4%
TXN
TEXAS INSTRUMENTS INC
$19.5B+16.7%58.3%37.3%27.5%44%35.2%0.78$7.1B+0.5%
EMR
EMERSON ELECTRIC CO
$18.6B+4.8%51.1%18.6%23%12.8%0.85$15.1B-0.9%
ORLY
O REILLY AUTOMOTIVE INC
$18.6B+8.5%51.6%19.6%11.6%20%$6.8B-4.7%
GIS
GENERAL MILLS INC
$18.3B-4.5%33.9%-1.1%8.5%4%-10.6%1.83$13.2B+0.2%
AFL
AFLAC INC
$18.1B+13.6%16.9%-6.3%
KMI
KINDER MORGAN, INC.
$18.0B+12.5%29.0%11.1%1.02$32.2B+0.2%
D
DOMINION ENERGY, INC
$17.4B+17.1%26.3%10.5%1.78$51.4B+3.1%
ED
CONSOLIDATED EDISON INC
$17.2B+9.1%17.4%0.5%1.04$26.5B+2.3%
ECL
ECOLAB INC.
$16.8B+7.1%44.1%16.9%11.1%18%21.8%1.31$8.0B-1.2%
KMB
KIMBERLY CLARK CORP
$16.6B+0.7%36.8%15.2%11.0%12%129.4%3.72$5.6B+0.2%
ITW
ILLINOIS TOOL WORKS INC
$16.5B+4.3%53.0%26.5%17.7%22%104.6%4.07$11.0B-2.3%
SPGI
S&P Global Inc.
$15.7B+8.5%70.5%43.9%35.3%44%14.8%0.43$11.5B-3.5%
REGN
REGENERON PHARMACEUTICALS, INC.
$15.5B+9.3%24.7%24.2%33%14.0%0.06-$6.0B-2.4%
NOW
ServiceNow, Inc.
$14.7B+22.2%74.8%11.4%31.1%53%14.2%0.60$2.9B+397.1%
XEL
XCEL ENERGY INC
$14.6B+4.7%19.1%9.9%1.64$37.4B+5.6%
CSX
CSX CORP
$14.5B+2.5%34.2%19.3%22%24.4%1.34$17.5B-0.6%
ADI
ANALOG DEVICES INC
$13.9B+33.6%65.8%35.5%35.6%69%12.2%0.27$6.8B-1.5%
KLAC
KLA CORP
$13.6B+11.7%27.7%39%87.5%0.93$4.2B+890.1%
SRE
SEMPRA
$13.6B+1.6%6.1%1.13$35.6B+0.2%
ABNB
Airbnb, Inc.
$13.2B+13.6%82.9%20.8%36.9%51%34.5%0.32-$9.6B-4.6%
APD
Air Products & Chemicals, Inc.
$12.6B+4.5%-4.7%-2.4%2%-0.3%1.28$16.8B+0.1%
VRTX
VERTEX PHARMACEUTICALS INC / MA
$12.6B+10.2%86.0%38.0%30.2%40%23.5%-1.1%
PEG
PUBLIC SERVICE ENTERPRISE GROUP INC
$12.5B+12.7%23.1%11.8%1.42$24.3B-0.1%
NSC
NORFOLK SOUTHERN CORP
$12.5B+3.0%32.2%13.0%16%17.0%1.02$15.5B-0.0%
HLT
Hilton Worldwide Holdings Inc.
$12.5B+8.7%23.3%16.3%25%$12.3B-4.3%
CMG
CHIPOTLE MEXICAN GRILL INC
$12.4B+7.3%14.7%12.6%20%49.6%0.00-$678M-5.6%
WMB
WILLIAMS COMPANIES, INC.
$12.2B+8.7%38.2%24.0%2.33$30.6B+0.2%
HSY
HERSHEY CO
$12.2B+7.7%38.4%17.8%18.3%26%32.8%1.23$4.8B+0.2%
WELL
WELLTOWER INC.
$11.8B+37.6%39.8%3.7%0.41$13.2B+7.9%
PANW
Palo Alto Networks Inc
$11.5B+24.5%70.4%6.1%35.8%60%1.7%+22.3%
LULU
lululemon athletica inc.
$11.1B+1.7%56.1%17.8%12.2%14%30.9%0.00-$1.4B-6.9%
ISRG
INTUITIVE SURGICAL INC
$11.0B+20.7%66.7%31.3%29.2%50%17.4%-1.5%
AMT
AMERICAN TOWER CORP /MA/
$10.9B+6.6%44.8%94.6%10.00$35.4B-0.5%
ANET
Arista Networks, Inc.
$10.5B+32.6%63.0%43.1%48.9%81%4.1%+0.3%
WEC
WEC ENERGY GROUP, INC.
$10.1B+8.9%65.7%22.8%12.0%1.55$22.5B+1.2%
EQIX
EQUINIX INC
$9.8B+9.6%21.8%10.8%1.38$17.6B+0.8%
ZTS
Zoetis Inc.
$9.5B+1.5%71.5%24.3%26%64.4%2.87$7.4B-6.8%
SNPS
SYNOPSYS INC
$9.4B+46.3%72.4%8.5%29.2%76%3.7%0.32$6.4B+3.2%
ROK
ROCKWELL AUTOMATION, INC
$9.0B+11.3%49.1%22.7%16.8%28%34.5%0.93$2.8B-1.2%
PLD
Prologis, Inc.
$8.9B+6.7%52.4%7.0%0.65$33.8B+0.5%
YUM
YUM BRANDS INC
$8.7B+10.3%68.1%31.0%19.3%30%$14.4B-1.7%
SPG
SIMON PROPERTY GROUP INC.
$6.9B+15.0%47.4%156.4%6.47$27.7B-0.8%
TTWO
TAKE TWO INTERACTIVE SOFTWARE INC
$6.7B+15.3%56.0%-2.4%5.0%20%-9.0%0.70$693M+1.4%
O
REALTY INCOME CORP
$6.1B+10.9%3.3%0.04$847M+3.5%
CDNS
CADENCE DESIGN SYSTEMS INC
$5.5B+13.4%28.3%25.9%39%20.7%+1.0%
KBH
KB HOME
$5.5B-17.5%6.5%-11%7.0%-9.9%
PSA
Public Storage
$4.9B+3.0%22.0%1.11$9.9B+0.1%
CCI
CROWN CASTLE INC.
$4.2B-4.6%97.5%47.7%$17.2B-2.3%
CRDO
Credo Technology Group Holding Ltd
$1.6B+165.1%67.1%31.7%27.6%193%30.7%+8.6%
JJSF
J&J SNACK FOODS CORP
$1.5B31.3%3.9%6.0%5.3%0.06-$6.1M-4.0%
BNY
Bank of New York Mellon Corp
14.2%0.79$27.7B-3.8%
TFC
TRUIST FINANCIAL CORP
9.1%1.09$30.6B-5.3%

Built from SEC EDGAR filings, last indexed 2026-09-24. Percentages are entered as percentages (15 = 15%); revenue and net debt in millions. A blank cell means the figure could not be computed from filings, and those companies are excluded from a filter on that column rather than treated as zero. Informational only, not investment advice.

What the presets screen for

Rule of 40
Revenue growth plus free-cash-flow margin at or above 40%, the standard durable-growth test.
Profitable growth
Growing revenue more than 15% a year while holding an operating margin above 15%.
Cash machines
Free-cash-flow margin above 20% with net cash on the balance sheet.
Shrinking share count
Diluted shares outstanding down year over year, so per-share results are not being diluted away.
High return on equity
Return on equity above 20% without leaning on leverage (debt/equity under 1).

How to read these columns

Rule of 40 adds revenue growth to free-cash-flow margin. It is a durable-growth test: a company can grow fast, print cash, or balance the two, but the sum should clear 40%. It is left blank for banks, insurers, REITs and utilities, where free cash flow does not carry the same meaning.

Return on equity uses TTM net income over average equity. High ROE alongside high leverage often reflects the balance sheet rather than the business, which is why the debt/equity column sits next to it.

Dilution is the year-over-year change in diluted shares outstanding. Negative means the share count shrank, so per-share results are not being diluted away.

A blank cell means the figure could not be computed from filings, usually because a company stopped reporting a tag or the series is stale. Those companies are excluded from a filter on that column rather than being treated as zero, so a screen never surfaces a company whose numbers are unknown.

Related tools

Source: SEC EDGAR company filings. Figures are as filed, with restatements applied. Informational only, not investment advice.