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 "Strong", market "US", No report yet: 114 match(clear filters) · page 1 of 2.

# Ticker Mkt Cap Score▼ Baillie 10Y ROE Profit Streak Net Debt/Eq Gross Margin Report FY
1 Cirrus Logic Inc CRUS · US $6.5B
79/100 Strong
— 15.6%low 7.9% 10 yr+ Net cash 51% — FY2026
2 LeMaitre Vascular Inc LMAT · US $2.3B
79/100 Strong
— 12.6%low 7.7% 10 yr+ Net cash 68% — FY2025
3 Dorchester Minerals LP DMLP · US $1.3B
79/100 Strong
— 40.0%low 18.5% 10 yr+ Net cash 71% — FY2025
4 Target Corporation TGT · US $66B
78/100 Strong
36/100 29.4%low 22.9% 10 yr+ 0.9× 29% — FY2026
5 Installed Building Products Inc IBP · US $6.0B
78/100 Strong
— 31.6%low 19.5% 10 yr+ 1.0× 31% — FY2025
6 Amdocs Ltd DOX · US $5.9B
78/100 Strong
— 14.3%low 10.3% 10 yr+ 0.1× 35% — FY2025
7 Doximity Inc DOCS · US $3.8B
78/100 Strong
— 27.9%low 11.7% 8 yr Net cash 88% — FY2026
8 Academy Sports Outdoors Inc ASO · US $2.9B
78/100 Strong
— 33.8%low 17.4% 9 yr 0.7× 32% — FY2026
9 Kimberly-Clark Corporation KMB · US $36B
77/100 Strong
38/100 60.0%low 60.0% 10 yr+ 4.4× 34% — FY2025
10 Dollar General Corporation DG · US $28B
77/100 Strong
38/100 27.8%low 15.2% 10 yr+ 1.7× 31% — FY2026
11 Synchrony Financial SYF · US $25B
77/100 Strong
38/100 19.7%low 10.9% 10 yr+ Net cash 55% — FY2025
12 UL Solutions Inc. ULS · US $18B
77/100 Strong
— 24.9%low 9.7% 7 yr 0.4× 47% — FY2025
13 Five Below Inc FIVE · US $12B
77/100 Strong
— 19.9%low 14.0% 10 yr+ 0.5× 35% — FY2026
14 ExlService Holdings Inc EXLS · US $5.2B
77/100 Strong
— 15.6%low 8.2% 10 yr+ 0.1× 36% — FY2025
15 ePlus inc PLUS · US $2.4B
77/100 Strong
— 13.9%low 11.0% 10 yr+ Net cash 24% — FY2026
16 Evertec Inc EVTC · US $1.9B
77/100 Strong
— 35.4%low 13.4% 10 yr+ 1.3× 54% — FY2025
17 Verizon Communications Inc VZ · US $195B
76/100 Strong
38/100 30.2%low 12.6% 10 yr+ 1.7× 46% — FY2025
18 Tempur Sealy International Inc TPX · US $12B
76/100 Strong
— 52.1%low 25.3% 10 yr+ 9.9× 43% — FY2024
19 The Clorox Company CLX · US $12B
76/100 Strong
38/100 57.5%low 38.4% 10 yr+ 59.7× 43% — FY2026
20 Hamilton Lane Inc HLNE · US $6.0B
76/100 Strong
— 25.3%low 0.7% 10 yr+ Net cash 67% — FY2026
21 Fortune Brands Innovations Inc. FBIN · US $5.9B
76/100 Strong
— 19.9%low 12.5% 10 yr+ 1.0× 40% — FY2025
22 Atmus Filtration Technologies Inc. ATMU · US $4.2B
76/100 Strong
— 47.2%low 31.9% 7 yr 0.9× 26% — FY2025
23 TriNet Group Inc TNET · US $3.0B
76/100 Strong
— 52.5%low 38.4% 10 yr+ 12.1× 19% — FY2025
24 ODDITY Tech Ltd. Class A Ordinary Shares ODD · US $654M
76/100 Strong
— 24.9%low 20.3% 6 yr 0.5× 70% — FY2025
25 Penske Automotive Group Inc PAG · US $14B
75/100 Strong
— 21.7%low 15.6% 10 yr+ 1.6× 16% — FY2025
26 Franklin Electric Co Inc FELE · US $4.6B
75/100 Strong
— 13.7%low 11.1% 10 yr+ 0.1× 34% — FY2025
27 Dlocal Ltd DLO · US $4.4B
75/100 Strong
— 38.1%low 24.6% 7 yr Net cash 49% — FY2025
28 Kadant Inc KAI · US $3.6B
75/100 Strong
— 13.2%low 9.4% 10 yr+ 0.3× 44% — FY2025
29 Columbia Sportswear Company COLM · US $3.0B
75/100 Strong
— 12.8%low 5.9% 10 yr+ Net cash 49% — FY2025
30 Vector Group Ltd VGR · US $2.4B
75/100 Strong
— 57.5%‡low 39.3% 10 yr+ — 33% — FY2023
31 Xpel Inc XPEL · US $1.2B
75/100 Strong
— 28.4%low 7.5% 10 yr+ Net cash 35% — FY2025
32 BJs Wholesale Club Holdings Inc BJ · US $12B
74/100 Strong
— 43.4%low 26.3% 10 yr+ 1.2× 18% — FY2026
33 Morningstar Inc MORN · US $7.2B
74/100 Strong
— 17.5%low 5.8% 10 yr+ 0.7× 59% — FY2025
34 Reynolds Consumer Products Inc REYN · US $5.3B
74/100 Strong
— 16.6%low 13.4% 10 yr+ 0.7× 26% — FY2025
35 Bread Financial Holdings, Inc. BFH · US $4.5B
74/100 Strong
— 24.4%low 9.1% 10 yr+ 0.2× 57% — FY2025
36 Inter Parfums Inc IPAR · US $4.0B
74/100 Strong
— 14.9%low 7.1% 10 yr+ Net cash 63% — FY2025
37 Mueller Water Products MWA · US $3.9B
74/100 Strong
— 14.9%low 10.1% 10 yr+ 0.0× 33% — FY2025
38 Healthcare Services Group Inc HCSG · US $1.6B
74/100 Strong
— 14.5%low 7.9% 10 yr+ Net cash 13% — FY2025
39 Diamond Hill Investment Group Inc DHIL · US $473M
74/100 Strong
— 28.1%low 21.0% 10 yr+ Net cash 57% — FY2025
40 Rio Tinto ADR RIO · US $156B
73/100 Strong
— 22.4%low 11.8% 10 yr+ 0.2× 55% — FY2025
41 Equity Lifestyle Properties Inc ELS · US $13B
73/100 Strong
— 19.5%low 16.0% 10 yr+ 1.9× 46% — FY2025
42 Applied Industrial Technologies AIT · US $13B
73/100 Strong
— 16.5%low 2.9% 10 yr+ 0.1× 29% — FY2025
43 Silicon Motion Technology SIMO · US $8.6B
73/100 Strong
— 17.3%low 7.2% 10 yr+ Net cash 48% — FY2025
44 Garrett Motion Inc GTX · US $5.8B
73/100 Strong
— 60.0%‡low 60.0% 8 yr — 25% — FY2025
45 M/I Homes Inc MHO · US $3.8B
73/100 Strong
— 16.1%low 8.7% 10 yr+ 0.1× 23% — FY2025
46 Teradata Corp TDC · US $2.9B
73/100 Strong
— 23.9%low -10.0% 6 yr 0.3× 55% — FY2025
47 IDT Corporation IDT · US $1.6B
73/100 Strong
— 21.3%low 0.6% 10 yr+ Net cash 23% — FY2025
48 InMode Ltd INMD · US $870M
73/100 Strong
— 29.9%low 3.8% 10 yr+ Net cash 83% — FY2025
49 Balchem Corporation BCPC · US $5.4B
72/100 Strong
— 11.4%low 10.2% 10 yr+ 0.1× 32% — FY2025
50 Kontoor Brands Inc KTB · US $4.6B
72/100 Strong
— 47.1%low 8.6% 10 yr+ 2.1× 42% — FY2025
51 Dorman Products Inc DORM · US $4.0B
72/100 Strong
— 14.1%low 10.8% 10 yr+ 0.4× 37% — FY2025
52 Vita Coco Company Inc COCO · US $3.8B
72/100 Strong
— 18.8%low 5.5% 7 yr Net cash 33% — FY2025
53 Wingstop Inc WING · US $3.5B
72/100 Strong
— 52.4%‡low 36.4% 10 yr+ — 55% — FY2025
54 Maximus Inc MMS · US $3.2B
72/100 Strong
— 18.1%low 9.7% 10 yr+ 0.7× 22% — FY2025
55 Alarm.com Holdings Inc ALRM · US $2.7B
72/100 Strong
— 12.0%low 5.3% 10 yr+ 0.2× 63% — FY2025
56 Global Industrial Co GIC · US $1.4B
72/100 Strong
— 32.1%low -15.2% 9 yr 0.1× 33% — FY2025
57 Elevance Health Inc ELV · US $82B
71/100 Strong
39/100 14.2%low 9.8% 10 yr+ 0.5× 24% — FY2025
58 Sysco Corporation SYY · US $41B
71/100 Strong
37/100 48.5%low 18.6% 10 yr+ 7.3× 18% — FY2025
59 Genmab AS GMAB · US $18B
71/100 Strong
— 18.6%low 13.3% 10 yr+ 0.6× 99% — FY2025
60 Paylocity Holding Corporation PCTY · US $7.4B
71/100 Strong
— 13.8%low -3.2% 9 yr Net cash 65% — FY2025
61 Credit Acceptance Corporation CACC · US $6.0B
71/100 Strong
— 27.8%low 14.2% 10 yr+ 3.8× 78% — FY2025
62 Patria Investments Ltd PAX · US $1.7B
71/100 Strong
— 33.7%low 14.0% 8 yr 0.2× 83% — FY2025
63 Cricut Inc CRCT · US $984M
71/100 Strong
— 25.3%low 9.0% 8 yr Net cash 40% — FY2025
64 Embecta Corp EMBC · US $216M
71/100 Strong
— 50.5%‡low 26.0% 7 yr — 68% — FY2025
65 Freedom Holding Corp FRHC · US $9.6B
70/100 Strong
— 23.5%low 6.1% 10 yr+ Net cash 76% — FY2026
66 Descartes Systems Group Inc DSGX · US $6.4B
70/100 Strong
— 7.5%low 4.5% 10 yr+ Net cash 74% — FY2026
67 Grupo Aeroportuario del Centro Norte SAB de CV OMAB · US $5.2B
70/100 Strong
— 35.5%low 10.3% 10 yr+ 0.9× 62% — FY2025
68 Asbury Automotive Group Inc ABG · US $4.3B
70/100 Strong
— 29.0%low 12.3% 10 yr+ 1.6× 17% — FY2025
69 Korn Ferry KFY · US $4.2B
70/100 Strong
— 11.5%low 7.8% 10 yr+ Net cash 78% — FY2026
70 Universal Display OLED · US $3.7B
70/100 Strong
— 14.0%low 8.5% 10 yr+ Net cash 80% — FY2025
71 PC Connection Inc CNXN · US $2.1B
70/100 Strong
— 10.8%low 8.8% 10 yr+ Net cash 16% — FY2025
72 Innoviva Inc INVA · US $1.5B
70/100 Strong
— 37.3%low 3.4% 10 yr+ Net cash 84% — FY2025
73 United Parcel Service Inc UPS · US $89B
69/100 Strong
38/100 52.6%low 34.3% 10 yr+ 1.6× 18% — FY2025
74 Stifel Financial Corporation SF · US $13B
69/100 Strong
— 10.9%low 3.0% 10 yr+ Net cash 93% — FY2025
75 Janus Henderson Group PLC JHG · US $8.0B
69/100 Strong
— 11.4%low 8.6% 10 yr+ Net cash 70% — FY2025
76 Acushnet Holdings Corp GOLF · US $6.2B
69/100 Strong
— 16.5%low 6.1% 10 yr+ 1.3× 51% — FY2025
77 Ollie's Bargain Outlet Hldg OLLI · US $4.4B
69/100 Strong
— 12.7%low 7.5% 10 yr+ 0.2× 39% — FY2026
78 Organon & Co OGN · US $3.6B
69/100 Strong
— 29.0%‡low 10.3% 9 yr 10.9× 60% — FY2025
79 Tootsie Roll Industries Inc TR · US $3.0B
69/100 Strong
— 9.4%low 7.6% 10 yr+ Net cash 36% — FY2025
80 CRA International Inc CRAI · US $1.2B
69/100 Strong
— 15.0%low 3.7% 10 yr+ 0.5× 29% — FY2025
81 Consensus Cloud Solutions Inc CCSI · US $670M
69/100 Strong
— 30.0%‡low 21.0% 8 yr 36.7× 82% — FY2025
82 PJT Partners Inc PJT · US $11B
68/100 Strong
— 42.1%low -7.7% 8 yr Net cash 30% — FY2025
83 CarGurus CARG · US $3.3B
68/100 Strong
— 18.9%low 3.9% 10 yr+ 0.0× 82% — FY2025
84 Sapiens International Corporation NV SPNS · US $2.4B
68/100 Strong
— 10.2%low 0.2% 10 yr+ Net cash 40% — FY2024
85 Weibo Corp WB · US $2.0B
68/100 Strong
— 15.4%low 2.6% 10 yr+ Net cash 80% — FY2025
86 360 Finance Inc QFIN · US $1.7B
68/100 Strong
— 27.8%low 19.5% 9 yr Net cash 1% — FY2025
87 Ennis Inc EBF · US $546M
68/100 Strong
— 11.0%low 0.7% 10 yr+ Net cash 30% — FY2026
88 United Therapeutics Corporation UTHR · US $26B
67/100 Strong
— 17.2%low -3.8% 6 yr Net cash 91% — FY2025
89 Vail Resorts Inc MTN · US $5.3B
67/100 Strong
— 23.0%low 7.5% 10 yr+ 7.1× 43% — FY2025
90 Group 1 Automotive Inc GPI · US $3.4B
67/100 Strong
— 19.7%low 11.6% 10 yr+ 2.1× 16% — FY2025
91 McGrath RentCorp MGRC · US $2.8B
67/100 Strong
— 16.2%low 9.7% 10 yr+ 0.4× 45% — FY2025
92 Patrick Industries Inc PATK · US $2.7B
67/100 Strong
— 21.9%low 11.4% 10 yr+ 1.4× 20% — FY2025
93 Cadre Holdings Inc CDRE · US $1.3B
67/100 Strong
— 20.5%low 3.5% 6 yr 0.6× 39% — FY2025
94 Hibbett Sports Inc HIBB · US $1.0B
67/100 Strong
— 20.4%low 8.3% 10 yr+ 0.8× 32% — FY2024
95 Papa John's International Inc PZZA · US $984M
67/100 Strong
— 31.3%‡low 10.2% 10 yr+ — 22% — FY2025
96 Topbuild Corp BLD · US $9.9B
66/100 Strong
— 19.4%low 7.5% 10 yr+ 1.3× 27% — FY2025
97 AAON Inc AAON · US $7.3B
66/100 Strong
— 19.4%low 12.0% 10 yr+ 0.5× 29% — FY2025
98 Lamb Weston Holdings Inc LW · US $7.2B
66/100 Strong
— 44.7%low 15.9% 10 yr+ 2.1× 24% — FY2026
99 Ingredion Incorporated INGR · US $6.3B
66/100 Strong
— 15.3%low 3.7% 10 yr+ 0.2× 22% — FY2025
100 GigaCloud Technology Inc Class A Ordinary Shares GCT · US $1.6B
66/100 Strong
— 25.9%low 10.5% 7 yr 0.1× 23% — 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.