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. Filtered by score tier "Poor", market "US", No report yet: 107 match(clear filters) · page 1 of 2.

# Ticker Mkt Cap Score▼ Baillie 10Y ROE Profit Streak Net Debt/Eq Gross Margin Report FY
1 Plains All American Pipeline LP PAA · US $17B
34/100 Poor
— 7.1%low -26.6% 5 yr 0.7× 5% — FY2025
2 Api Group Corp APG · US $17B
34/100 Poor
— 4.5%low -9.8% 5 yr 0.6× 25% — FY2025
3 Ryder System Inc R · US $9.8B
34/100 Poor
— 13.6%low -5.4% 5 yr 2.8× 20% — FY2025
4 Macy’s Inc M · US $6.5B
34/100 Poor
— 0.9%low -154.5% 5 yr 0.8× 39% — FY2026
5 ChampionX Corporation CHX · US $4.9B
34/100 Poor
— 3.0%low -45.7% 4 yr 0.1× 30% — FY2024
6 Aramark Holdings ARMK · US $15B
33/100 Poor
— 8.4%low -16.9% 4 yr 1.6× 9% — FY2025
7 NewJersey Resources Corporation NJR · US $5.8B
33/100 Poor
— 12.2%low 7.2% 10 yr+ 1.6× 13% — FY2025
8 KBR Inc KBR · US $4.6B
33/100 Poor
— 9.8%low -19.2% 2 yr 1.7× 11% — FY2025
9 AZZ Incorporated AZZ · US $4.3B
33/100 Poor
— 9.5%low -6.2% 3 yr 0.4× 24% — FY2026
10 Teekay Tankers Ltd TNK · US $2.7B
33/100 Poor
— 7.5%low -28.9% 4 yr Net cash 20% — FY2025
11 Dine Brands Global Inc DIN · US $456M
33/100 Poor
— 6.9%‡low -34.4% 5 yr — 44% — FY2025
12 HealthEquity Inc HQY · US $8.4B
32/100 Poor
— 5.7%low -2.4% 3 yr 0.3× 55% — FY2026
13 Churchill Downs Incorporated CHDN · US $5.9B
31/100 Poor
— 34.6%low -22.3% 5 yr 4.9× 29% — FY2025
14 Sotera Health Co SHC · US $5.1B
31/100 Poor
— -4.7%low -66.7% 3 yr 3.2× 54% — FY2025
15 ADEIA CORP ADEA · US $2.9B
31/100 Poor
— -4.7%low -98.2% 3 yr 0.6× 74% — FY2025
16 United Parks & Resorts Inc PRKS · US $2.1B
31/100 Poor
— 12.2%‡low -13.6% 5 yr — 61% — FY2025
17 Guess? Inc. GES · US $877M
31/100 Poor
— 10.8%low -14.9% 4 yr 2.4× 39% — FY2025
18 Alamos Gold Inc AGI · US $12B
30/100 Poor
— 4.0%low -2.8% 4 yr Net cash 29% — FY2025
19 Kirby Corporation KEX · US $7.0B
30/100 Poor
— 3.5%low -8.8% 4 yr 0.4× 22% — FY2025
20 Weatherford International plc WFRD · US $6.3B
30/100 Poor
— -37.6%low -211.8% 4 yr 0.4× 24% — FY2025
21 Sezzle Inc. SEZL · US $5.2B
30/100 Poor
— -83.8%low -430.8% 3 yr 0.5× 49% — FY2025
22 The Chefs Warehouse Inc CHEF · US $4.7B
30/100 Poor
— 3.2%low -24.1% 4 yr 1.7× 24% — FY2025
23 Upbound Group Inc. UPBD · US $1.1B
30/100 Poor
— 9.3%low -42.8% 2 yr 2.5× 56% — FY2025
24 Edison International EIX · US $28B
29/100 Poor
38/100 8.8%low -2.9% 7 yr 2.4× 40% — FY2025
25 Diebold Nixdorf, Incorporated DBD · US $2.5B
29/100 Poor
— -1.5%‡low -23.6% 1 yr 0.7× 24% — FY2025
26 ADMA Biologics Inc ADMA · US $2.0B
29/100 Poor
— -82.1%low -332.5% 2 yr Net cash -5% — FY2025
27 Capital Southwest Corporation CSWC · US $1.5B
29/100 Poor
— 8.4%low -7.9% 6 yr 1.1× 76% — FY2026
28 SP Plus Corp SP · US $1.1B
29/100 Poor
— 1.9%low -94.4% 3 yr 2.2× 12% — FY2023
29 Nutex Health Inc NUTX · US $1.0B
29/100 Poor
— -32.0%low -443.1% 2 yr 0.5× 51% — FY2025
30 Bluegreen Vacations Holding Corp BVH · US $1.0B
29/100 Poor
— 13.2%low -23.6% 2 yr 5.0× 73% — FY2022
31 SandRidge Energy Inc SD · US $514M
29/100 Poor
— -90.7%low -720.9% 5 yr Net cash 33% — FY2025
32 Imperial Petroleum Inc IMPP · US $213M
29/100 Poor
— 13.4%low -3.8% 4 yr Net cash 16% — FY2025
33 AT&T Inc. T · US $159B
28/100 Poor
39/100 9.4%low -8.7% 3 yr 1.4× 44% — FY2025
34 LATAM Airlines Group S.A. LTM · US $15B
28/100 Poor
— 32.1%low 1.7% 4 yr 4.4× 19% — FY2025
35 DigitalOcean Holdings Inc DOCN · US $14B
28/100 Poor
— -6.0%‡low -58.0% 3 yr — 58% — FY2025
36 National Fuel Gas Company NFG · US $7.8B
28/100 Poor
— 10.9%low -19.1% 5 yr 0.9× 43% — FY2025
37 Vista Oil Gas ADR VIST · US $7.6B
28/100 Poor
— 17.7%low -20.2% 5 yr 1.1× 38% — FY2025
38 International Seaways Inc INSW · US $4.8B
28/100 Poor
— 6.4%low -11.4% 4 yr 0.2× 29% — FY2025
39 Tidewater Inc TDW · US $3.7B
28/100 Poor
— -28.4%low -220.5% 3 yr 0.1× 15% — FY2025
40 NCR Atleos Corporation NATL · US $3.5B
28/100 Poor
— 7.0%low -47.2% 2 yr 6.1× 54% — FY2025
41 Uniti Group Inc UNIT · US $2.4B
28/100 Poor
— 13.7%‡low 8.9% 2 yr 26.0× 84% — FY2025
42 Teekay Corporation TK · US $1.0B
28/100 Poor
— 0.4%low -21.0% 5 yr Net cash 24% — FY2025
43 CEA Industries Inc. BNC · US $110M
28/100 Poor
— -454.4%low -2441.0% 1 yr Net cash 25% — FY2025
44 Shell PLC ADR SHEL · US $252B
27/100 Poor
— 7.9%low -14.0% 5 yr 0.4× 11% — FY2025
45 Alcoa Corp AA · US $12B
27/100 Poor
— -1.9%low -27.4% 2 yr 0.2× 13% — FY2025
46 Harmony Gold Mining Company Limited HMY · US $9.7B
27/100 Poor
— 4.9%low -17.5% 3 yr Net cash 10% — FY2025
47 Vornado Realty Trust VNO · US $8.1B
27/100 Poor
— 8.5%low -5.9% 3 yr 1.2× 62% — FY2025
48 COPT Defense Properties CDP · US $4.4B
27/100 Poor
— 5.7%low -5.0% 2 yr 1.7× 33% — FY2025
49 Ero Copper Corp ERO · US $2.9B
27/100 Poor
— 17.1%low -12.1% 1 yr 0.6× 42% — FY2025
50 Dollar Tree Inc DLTR · US $24B
26/100 Poor
35/100 2.4%low -76.2% 1 yr 1.7× 33% — FY2026
51 Hudbay Minerals Inc. HBM · US $10B
26/100 Poor
— -0.7%low -18.6% 4 yr 0.2× 20% — FY2025
52 Kite Realty Group Trust KRG · US $6.2B
26/100 Poor
— 0.5%low -3.2% 3 yr 1.1× 71% — FY2025
53 Torm PLC Class A TRMD · US $3.1B
26/100 Poor
— 11.9%low -18.3% 4 yr 0.4× 48% — FY2025
54 Bristow Group Inc VTOL · US $1.3B
26/100 Poor
— -27.5%low -163.5% 2 yr 0.6× 20% — FY2025
55 Collegium Pharmaceutical Inc COLL · US $1.1B
26/100 Poor
— -9.8%low -71.9% 3 yr 1.8× 59% — FY2025
56 Ardmore Shpng ASC · US $710M
26/100 Poor
— 4.0%low -12.4% 4 yr 0.1× 34% — FY2025
57 Whiting Petroleum Corporation WLLAW · US —
26/100 Poor
— -34.1%low -411.7% 3 yr 0.0× 54% — FY2023
58 Huazhu Group Ltd HTHT · US $13B
25/100 Poor
— 12.3%low -20.8% 3 yr 1.6× 27% — FY2025
59 Archrock Inc AROC · US $6.3B
25/100 Poor
— 5.4%low -8.0% 5 yr 1.6× 48% — FY2025
60 EPR Properties EPR · US $4.8B
25/100 Poor
— 6.5%low -5.0% 5 yr 1.3× 87% — FY2025
61 FLEX LNG Ltd FLNG · US $1.7B
25/100 Poor
— 8.0%low -2.0% 8 yr 1.9× 45% — FY2025
62 Par Pacific Holdings Inc PARR · US $4.3B
24/100 Poor
— -4.6%low -166.1% 1 yr 0.7× 11% — FY2025
63 Santacruz Silver Mining Ltd. Common Shares SCZM · US $599M
24/100 Poor
— -185.6%low -419.2% 2 yr Net cash 1% — FY2025
64 Antero Resources Corp AR · US $11B
23/100 Poor
— 0.1%low -20.8% 4 yr 0.7× 18% — FY2025
65 Livent Corp LTHM · US $3.0B
23/100 Poor
— 11.0%low -3.3% 3 yr 0.0× 37% — FY2023
66 StoneCo Ltd STNE · US $2.8B
23/100 Poor
— 2.4%low -23.3% 1 yr 1.0× 73% — FY2025
67 Trinity Capital Inc. TRIN · US $1.6B
23/100 Poor
— 9.9%low -6.6% 3 yr 1.2× 70% — FY2025
68 Safe Bulkers Inc SB · US $799M
23/100 Poor
— 5.2%low -18.6% 5 yr 0.5× 36% — FY2025
69 Cresud SACIF y A CRESY · US $795M
23/100 Poor
— 4.1%low -83.5% 4 yr 1.0× 41% — FY2025
70 Riley Exploration Permian Inc REPX · US $744M
23/100 Poor
— -18.0%low -134.4% 4 yr 0.4× 33% — FY2025
71 SkyWest Inc SKYW · US $4.2B
22/100 Poor
— 8.1%low -12.0% 5 yr 0.6× 21% — FY2025
72 Kyndryl Holdings Inc KD · US $3.0B
22/100 Poor
— -41.7%low -100.7% 2 yr 2.0× 15% — FY2026
73 CBL & Associates Properties Inc CBL · US $1.8B
22/100 Poor
— -24.6%low -155.1% 3 yr 4.9× 1% — FY2025
74 Inhibrx Inc INBX_OLD · US $220M
22/100 Poor
— — 1 yr Net cash -206% — FY2024
75 Tingo Group Inc. TIO · US $167M
22/100 Poor
— -308.8%low -2152.2% 1 yr Net cash 14% — FY2023
76 Range Resources Corp RRC · US $9.4B
21/100 Poor
— -5.7%low -73.1% 5 yr 0.3× 26% — FY2025
77 Matador Resources Company MTDR · US $6.2B
21/100 Poor
— 9.3%low -39.2% 5 yr 0.6× 42% — FY2025
78 B2Gold Corp BTG · US $5.1B
21/100 Poor
— 6.1%low -21.1% 1 yr 0.1× 38% — FY2025
79 Kaiser Aluminum Corporation KALU · US $2.6B
21/100 Poor
— 6.3%low -4.7% 3 yr 1.4× 14% — FY2025
80 Community Health Systems Inc CYH · US $393M
21/100 Poor
— 8.0%‡low 1.7% 1 yr — 36% — FY2025
81 Millicom International Cellular SA TIGO · US $16B
20/100 Poor
37/100 5.2%low -16.7% 2 yr 2.2× 49% — FY2025
82 Valaris Ltd VAL · US $5.5B
20/100 Poor
— -43.2%low -423.7% 4 yr 0.2× 21% — FY2025
83 Weatherford International PLC WFRD_OLD · US $5.3B
20/100 Poor
— -45.2%low -205.0% 3 yr 0.7× 23% — FY2024
84 Century Aluminum Company CENX · US $4.4B
20/100 Poor
— -7.3%low -39.7% 2 yr 0.5× 3% — FY2025
85 Callon Petroleum Company CPE · US $2.4B
20/100 Poor
— -33.6%low -356.3% 3 yr 0.5× 41% — FY2023
86 Textainer Group Holdings Ltd TGH · US $2.1B
20/100 Poor
— 7.8%low -4.5% 7 yr 2.5× 33% — FY2023
87 Great Lakes Dredge & Dock GLDD · US $1.1B
20/100 Poor
— 5.0%low -14.1% 3 yr 0.9× 17% — FY2025
88 Dutch Bros Inc BROS · US $11B
19/100 Poor
— 6.5%low -13.4% 3 yr 1.2× 30% — FY2025
89 DHT Holdings Inc DHT · US $3.0B
19/100 Poor
— 8.5%low -5.4% 4 yr 0.3× 29% — FY2025
90 Ryman Hospitality Properties Inc RHP · US $8.4B
18/100 Poor
— 12.5%low -203.3% 4 yr 5.1× 25% — FY2025
91 Cinemark Holdings Inc CNK · US $4.2B
18/100 Poor
— -24.2%low -246.1% 3 yr 8.5× 55% — FY2025
92 Gulfport Energy Operating Corp GPOR · US $2.9B
18/100 Poor
— -2.5%low -152.3% 1 yr 0.4× 50% — FY2025
93 ADT Inc ADT · US $5.6B
17/100 Poor
— -3.0%low -20.8% 2 yr 2.0× 41% — FY2025
94 Trinity Industries Inc TRN · US $2.5B
16/100 Poor
— 9.4%low -7.3% 5 yr 4.9× 23% — FY2025
95 US Silica Holdings Inc SLCA · US $1.2B
16/100 Poor
— -2.1%low -46.8% 2 yr 0.8× 27% — FY2023
96 CNX Resources Corp CNX · US $5.3B
15/100 Poor
— 2.7%low -22.3% 1 yr 0.6× 34% — FY2025
97 Nordic American Tankers Limited NAT · US $1.4B
14/100 Poor
— -2.5%low -24.4% 4 yr 0.8× 11% — FY2025
98 United Airlines Holdings Inc UAL · US $39B
13/100 Poor
37/100 2.6%low -118.6% 4 yr 1.2× 24% — FY2025
99 Life Time Group Holdings Inc LTH · US $10B
13/100 Poor
— -4.2%low -27.7% 3 yr 2.1× 42% — FY2025
100 Kinetik Holdings Inc KNTK · US $8.5B
13/100 Poor
— 7.4%‡low -29.7% 5 yr — 25% — FY2025

Data and methodology: the six dimensions quantify Berkshire's published acquisition criteria and Buffett's shareholder letters (1981/1987/1991/2007 among others). Qualitative tests in the originals (e.g. "simple, understandable business", "management in place") are out of scope, and price ("available at a fair price") is covered by each report's valuation range instead. Financials come from company annual reports (via EODHD); ratios are computed in reporting currency, the USD gate via static FX. "‡" marks companies whose equity is persistently negative or tiny (ROE falls back to ROCE); "†" marks missing gross profit (operating margin used). Investment trusts and closed-end funds are excluded on two tests — name and financial shape (operating margins beyond what an operating company can achieve); REITs and operating asset managers are unaffected. This is a quantitative first pass, not investment advice. When citing this data, please credit Zen Horizon (zh.app). See our methodology for the scoring process.