MSFT 415.85 -0.4643% AAPL 228.66 0.1665% NVDA 145.315 -1.153% GOOGL 175.65 -1.3867% GOOG 177.07 -1.3977% AMZN 202.88 -0.8455% META 564.135 0.5427% AVGO 162.61 -1.6571% TSLA 342.2799 -1.0752% TSM 186.825 -1.5% LLY 754.385 3.3786% V 307.39 -1.4302% JPM 240.935 -0.8865% UNH 601.41 4.2305% NVO 105.52 2.8159% WMT 87.12 0.6005% LVMUY 121.8 -0.5471% XOM 119.97 1.1296% LVMHF 607.0 -0.9465% MA 512.64 -1.3129%
Ticker | Company Name | GICS Sector Name | Market Cap (USD Million) | CMP | Closing Market Price (USD) | % Change | Consensus Target Price(in USD) | Consensus Recommendation | Last 3 Year Average Profit Growth | Average 5 year PE | Last Fiscal Year P/E | Strong Buy | Buy | Hold | Sell | Strong Sell | FY1 | FY2 | FY3 | FY1 | FY2 | FY3 |
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Source: Data Powered by Licensed Source, Data as of Nov. 15, 2024. The above companies data is updated on a weekly basis.
Note: 1Y = 1 Year; 3Y = 3 Years; 5Y = 5 Years; ROE refers to return on equity; ROIC refers to return on invested capital; PE refers to price to earnings ratio; TTM refers to Trailing Twelve Months; LFY refers to last fiscal year; EPS refers to Basic Earnings per Share; P/E refers to Price to Earnings Ratio; SMA refers to simple moving average; CMP refers to Current Market Price; WACC refers to Weighted Average Cost of Capital; LTM refers to Last Twelve Months; D/E refers Debt to Equity Ratio; Current Asset metrics for 'Banks' refer to end of period (EOP) loans divided by end of period (EOP) deposits; NA refers to data not available
^Broker estimates for upcoming fiscal year
Source: Data Powered by Licensed Source, Data as of Nov. 15, 2024. *The above performance data is based on average price change for selected stocks listed on NASDAQ, as per the screening criterias defined for Attractive Blue-chips Screener. The performance data is updated on a weekly basis.
The Attractive Blue-chips Screener is designed to identify well-established, financially sound companies that are known for their stability and consistent performance. Blue-chip companies are typically leaders in their industries, offering long-term growth potential along with sustainable growth. This screener focuses on large-cap stocks with a track record in profit growth and attractive valuation metrics, such as lower-than-average price-to-earnings (P/E) ratios. By combining these factors, the screener highlights companies that provide both stability and potential value for investors.
This screener is useful for investors who seek blue-chip companies with strong profit growth and favorable valuation, making it ideal for those looking for long-term stability and potential capital appreciation.
Key Metrics Overview
Key Metrics |
Description |
Market Capitalization |
This metric represents the total market value of a company’s outstanding shares, calculated by multiplying the share price by the total number of shares. Companies with higher market capitalization are often more established, financially stable, and less volatile. |
Last 3 Year Average Profit Growth |
This refers to the average annual growth in a company’s net profit over the past three years. It provides insight into the company's ability to enhance profitability consistently over time, reflecting financial strength and operational efficiency. |
Last Fiscal Year Price-to-Earnings (P/E) Ratio |
The P/E ratio compares a company’s current share price to its earnings per share (EPS). It is an important valuation metric used to assess whether a stock is overvalued or undervalued. A lower P/E ratio relative to historical averages can indicate that the stock is attractively priced in relation to its earnings. |
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