I like to use Finchat to screen for Quality Stocks:
• Revenue growth > 7%
• Earnings growth > 9%
• ROIC > 15%
• Profit Margin > 10%
• Operating Cash flow / Earnings > 90%
• Net Debt / EBITDA < 3
Here are 15 stocks that match these criteria:
1. Apple ($AAPL)
Apple is the largest company in the world which manufactures, and markets smartphones, personal computers, tablets and wearables .
- FCF Margin: 25.4%
- ROIC: 299.8%
- FCF Yield: 3.5%
- Expected yearly FCF Growth (3 yr): 4.3%
- CAGR since IPO: 34.1%
Apple is the largest company in the world which manufactures, and markets smartphones, personal computers, tablets and wearables .
- FCF Margin: 25.4%
- ROIC: 299.8%
- FCF Yield: 3.5%
- Expected yearly FCF Growth (3 yr): 4.3%
- CAGR since IPO: 34.1%

2. Microsoft ($MSFT)
Microsoft operates as a software company. Word, Excel … are all applications of $MSFT. Their cloud segment grows very fast.
- FCF Margin: 36.7%
- ROIC: 28.1%
- FCF Yield: 2.3%
- Exp. yearly FCF Growth (3 yr): 12.7%
- CAGR since IPO: 22.7%
Microsoft operates as a software company. Word, Excel … are all applications of $MSFT. Their cloud segment grows very fast.
- FCF Margin: 36.7%
- ROIC: 28.1%
- FCF Yield: 2.3%
- Exp. yearly FCF Growth (3 yr): 12.7%
- CAGR since IPO: 22.7%

3. Alphabet ($GOOGL)
Google has a monopoly in digital advertisements. Munger once stated that $GOOGL has one of the widest moats he has ever seen.
- FCF Margin: 29.5%
- ROIC: 23.9%
- FCF Yield: 4.2%
- Exp. yearly FCF Growth (3 yr): 12.4%
- CAGR since IPO: 22.7%
Google has a monopoly in digital advertisements. Munger once stated that $GOOGL has one of the widest moats he has ever seen.
- FCF Margin: 29.5%
- ROIC: 23.9%
- FCF Yield: 4.2%
- Exp. yearly FCF Growth (3 yr): 12.4%
- CAGR since IPO: 22.7%

4. Mastercard ($MA)
Mastercard provides financial transaction processing services for credit and debit cards.
- FCF margin: 48.0%
- ROCE: 188.5%
- FCF yield: 3.0%
- Expected FCF growth (3 yr): 15.8%
- CAGR since IPO: 31.0%
Mastercard provides financial transaction processing services for credit and debit cards.
- FCF margin: 48.0%
- ROCE: 188.5%
- FCF yield: 3.0%
- Expected FCF growth (3 yr): 15.8%
- CAGR since IPO: 31.0%

5. Novo Nordisk ($NOVO)
Novo Nordisk is active in diabetes treatment. More and more people will suffer from diabetes due to our aging population and obesity.
- FCF Margin: 34.6%
- ROIC: 62.0%
- FCF yield: 3.1%
- Exp. yearly FCF Growth (3 yr): 14.4%
- CAGR since IPO: 19.9%
Novo Nordisk is active in diabetes treatment. More and more people will suffer from diabetes due to our aging population and obesity.
- FCF Margin: 34.6%
- ROIC: 62.0%
- FCF yield: 3.1%
- Exp. yearly FCF Growth (3 yr): 14.4%
- CAGR since IPO: 19.9%

6. ASML ($ASML)
ASML is a monopolistic player in semiconductor chip machines through lithography. Over the next years, demand for semiconductors will explode.
- FCF margin: 53.4%
- ROCE: 41.5%
- FCF yield: 1.7%
- Exp. FCF growth ( 3 yr): 18.3%
- CAGR since IPO: 25.3%
ASML is a monopolistic player in semiconductor chip machines through lithography. Over the next years, demand for semiconductors will explode.
- FCF margin: 53.4%
- ROCE: 41.5%
- FCF yield: 1.7%
- Exp. FCF growth ( 3 yr): 18.3%
- CAGR since IPO: 25.3%

7. Visa ($V)
Visa is a great quality business with a wide moat and incredible profit margins. When you invest in Visa, you invest in a strong secular trend.
- FCF margin: 60.2%
- ROCE: 105.3%
- FCF yield: 3.5%
- Exp. FCF growth (3 yr): 15.5%
- CAGR since IPO: 22.3%
Visa is a great quality business with a wide moat and incredible profit margins. When you invest in Visa, you invest in a strong secular trend.
- FCF margin: 60.2%
- ROCE: 105.3%
- FCF yield: 3.5%
- Exp. FCF growth (3 yr): 15.5%
- CAGR since IPO: 22.3%

8. Adobe ($ADBE)
Adobe is a true compounding stock active in computer software products and technologies allowing users to express information across all media.
- FCF margin: 43.6%
- ROCE: 125.2%
- FCF yield: 2.8%
- Exp. FCF growth (3 yr): 20.0%
- CAGR since IPO: 17.6%
Adobe is a true compounding stock active in computer software products and technologies allowing users to express information across all media.
- FCF margin: 43.6%
- ROCE: 125.2%
- FCF yield: 2.8%
- Exp. FCF growth (3 yr): 20.0%
- CAGR since IPO: 17.6%

9. Regeneron Pharmaceuticals ($REGN)
Regeneron is a biopharma company active in pharmaceutical products for the treatment of serious medical conditions.
- FCF Margin: 35.6%
- ROIC: 19.2%
- FCF yield: 5.0%
- Exp. yearly FCF Growth (3 yr): 3.5%
- CAGR since IPO: 12.1%
Regeneron is a biopharma company active in pharmaceutical products for the treatment of serious medical conditions.
- FCF Margin: 35.6%
- ROIC: 19.2%
- FCF yield: 5.0%
- Exp. yearly FCF Growth (3 yr): 3.5%
- CAGR since IPO: 12.1%

10. Fortinet ($FTNT)
Fortinet provides network security solutions. The Company offers network security appliances, software, and subscription services.
- FCF Margin: 18.2%
- ROIC: 59.9%
- FCF Yield: 2.6%
- Exp. yearly FCF Growth (3 yr): 23.7%
- CAGR since IPO: 33.0%
Fortinet provides network security solutions. The Company offers network security appliances, software, and subscription services.
- FCF Margin: 18.2%
- ROIC: 59.9%
- FCF Yield: 2.6%
- Exp. yearly FCF Growth (3 yr): 23.7%
- CAGR since IPO: 33.0%

11. Old Dominion Freight ($ODFL)
ODFL is the 4th largest less-than-truckload carrier in the US. It's one of the most efficient providers in the industry.
- FCF margin: 12.6%
- ROIC: 36.8%
- FCF yield: 2.2%
- Exp. yearly FCF growth (3 y): 2.8%
- CAGR since IPO: 19.8%
ODFL is the 4th largest less-than-truckload carrier in the US. It's one of the most efficient providers in the industry.
- FCF margin: 12.6%
- ROIC: 36.8%
- FCF yield: 2.2%
- Exp. yearly FCF growth (3 y): 2.8%
- CAGR since IPO: 19.8%

12. Copart ($CPRT)
Copart provides vehicle suppliers with services to sell vehicles . The company dominates the market for online car auctions.
- FCF margin: 24.0%
- ROCE: 27.4%
- FCF yield: 2.2%
- Exp. FCF growth (3 yr): 8.2%
- CAGR since IPO: 20.0%
Copart provides vehicle suppliers with services to sell vehicles . The company dominates the market for online car auctions.
- FCF margin: 24.0%
- ROCE: 27.4%
- FCF yield: 2.2%
- Exp. FCF growth (3 yr): 8.2%
- CAGR since IPO: 20.0%

13. Evolution AB ($EVO)
Evolution AB operates as a gaming company. The Company delivers fully integrated B2B live casino solutions to online casino operators.
- FCF Margin: 52.9%
- ROIC: 21.5%
- FCF Yield: 4.8%
- Exp. yearly FCF growth (3 yr): 14.6%
- CAGR since IPO: 72.3%
Evolution AB operates as a gaming company. The Company delivers fully integrated B2B live casino solutions to online casino operators.
- FCF Margin: 52.9%
- ROIC: 21.5%
- FCF Yield: 4.8%
- Exp. yearly FCF growth (3 yr): 14.6%
- CAGR since IPO: 72.3%

14. Accenture ($ACN)
Accenture PLC is a consultancy company with management and technology consulting services and solutions.
- FCF Margin: 14.3%
- ROCE: 80.1%
- FCF Yield: 4.0%
- Expected yearly FCF Growth (3 yr): 8.9%
- CAGR since IPO: 16.4%
Accenture PLC is a consultancy company with management and technology consulting services and solutions.
- FCF Margin: 14.3%
- ROCE: 80.1%
- FCF Yield: 4.0%
- Expected yearly FCF Growth (3 yr): 8.9%
- CAGR since IPO: 16.4%

15. Zoetis ($ZTS)
More people are treating their pets as a full family member, and Zoetis fully benefits from this with animal health medicines and vaccines.
- FCF margin: 22.3%
- ROCE: 32.9%
- FCF yield: 2.5%
- Exp FCF growth (3 yr): 10.6%
- CAGR since IPO: 20.9%
More people are treating their pets as a full family member, and Zoetis fully benefits from this with animal health medicines and vaccines.
- FCF margin: 22.3%
- ROCE: 32.9%
- FCF yield: 2.5%
- Exp FCF growth (3 yr): 10.6%
- CAGR since IPO: 20.9%

That's it for today.
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If you sign up to my newsletter, you get access to a PDF with 100 (!) examples of Quality Stocks.
Sign up here: compounding-quality.ck.page/afee7ce56b
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