Visually programmable, powerful algorithms that analyze 70,000+ stocks 24/7 at scale using your own evaluation logic. Each engine weighs different factors to find opportunities that match specific investment styles and strategy.
Find deeply undervalued stocks using Benjamin Graham and Warren Buffett's proven value investing principles. This screening engine identifies companies trading below their intrinsic value with strong fundamentals and margin of safety.
Conservative investors seeking undervalued stocks with strong financial health and long-term potential for significant returns.
Discover high-growth stocks with accelerating revenue, earnings, and market momentum. This screening engine identifies growth stocks reinvesting profits to fuel expansion and capture market opportunities.
Growth investors seeking high-growth stocks with exceptional expansion prospects and strong momentum indicators.
Automate fundamental analysis, tracking and risk management at scale with our suites of products and features, powered by AI.
Deploy your own continuous screening instances on the cloud. Set your own multi-factor, category based, weighted screening criteria (200+ metrics) or use our predefined scoring and ranking criteria based on advanced value investing principles. Our AI-powered algorithms are constantly monitoring the market for you.
Scan 70,000+ stocks across NYSE, NASDAQ, LSE, EURONEXT, TSX, ASX and many more global exchanges
Continuous evaluation with daily, weekly and quarterly data refreshes to keep you ahead of the market
Advanced Value Investing Criteria
Use our predefined advanced value investing criteria that evaluates stocks continuously based on Valuation, Profitability, Liquidity, Leverage, Efficiency, Growth and Momentum.
Custom Scoring Systems
Design custom scoring systems and categories to match your screening goals or override predefined systems. Apply weights to different factors based on your investment strategy.
Advanced Configuration Options
Fine-tune your screening with sector/industry filters, market cap ranges, liquidity thresholds, and dynamic adjustments that account for industry-specific metrics.
Our powerful ranking system lets you prioritize stocks based on the criteria that matter most to you. Sort by multiple metrics simultaneously to find the perfect investment candidates.
Multi-Factor Ranking
Rank by combined scores across multiple categories with customizable weightings
Trend Detection
Identify stocks with improving metrics and positive momentum patterns
Advanced Filtering
Apply precise filters to narrow down results to exactly what you're looking for
Outlier Detection
Find exceptional stocks that outperform their sector or industry peers
Stay informed without constant monitoring. Our notification system alerts you to significant changes in your tracked stocks and when new opportunities emerge that match your criteria.
Get notified when a stock significantly moves up or down in your rankings
Be the first to know when a new stock meets your screening criteria
Monitor when a stock's scores improve or deteriorate across key metrics
Set specific thresholds for key metrics and get alerted when they're crossed
Real-time notifications for market opportunities
5 minutes ago
NVDA has risen to #3 in your "Technology Leaders" screening engine (was #7).
1 hour ago
ORCL now matches your "Value Investing" screening criteria with a score of 87.
2 hours ago
MSFT's Growth score increased from 82 to 94 after quarterly earnings.
Yesterday
AAPL's P/E ratio has dropped below your threshold of 25 (currently 22.8).
Our comprehensive scoring system evaluates stocks across seven critical dimensions of financial health and performance. Use our expert-designed scoring systems or build your own custom categories.
Measures how attractively priced a stock is relative to its earnings, cash flow, and book value
Evaluates a company's ability to generate profits relative to its revenue, assets, and equity
Analyzes historical and projected growth rates for revenue, earnings, and cash flow
Create your own scoring systems with custom metrics, weightings, and thresholds
Our system automatically adjusts scoring to account for industry-specific characteristics, ensuring fair comparisons between companies in different sectors
Customize how stocks are evaluated
What can you build with your screening engines? With thousands of combinations, sky is the limit. Returns are great, but sharpe ratio tells the real story. Our power users are building portfolios consisting of undervalued and growth stocks that not only outperform the market but also provides excellent risk-adjusted returns, with sharpe ratio typically above 2.
A portfolio comprising the top 30 stocks from the Growth Momentum (Global) Screening Engine, containing stocks from North American, European, and Asian companies.
Sharpe Ratio
4.05
A high-risk, high-reward portfolio targeting companies with exceptional growth potential. Focuses on stocks with 5-year revenue growth >50%, strong operating cash flow growth >20%, and high Altman Z-scores >3. Concentrates on disruptive technology and healthcare innovators.
Sharpe Ratio
2.42
An internationally diversified portfolio spanning multiple geographic regions and exchanges. Features quality companies with strong Piotroski scores (≥6), solid financial health (Altman Z-score >2), and good liquidity (current ratio >1). Provides exposure to developed markets worldwide.
Sharpe Ratio
2.08