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An ASX implementation of Joel Greenblatt's Magic Formula

# Symbol Name Sector Market Cap ROC Earnings Yield
331 HDN HOMECO DAILY NEEDS REIT Equity Real Estate Investment Trusts (REITs) $2,570,377,831 3.23 3.20
332 EQT EQT HOLDINGS LIMITED Financial Services $821,970,671 4.35 2.52
333 ANN ANSELL LIMITED Health Care Equipment & Services $4,734,422,840 3.68 2.78
334 ZIP ZIP CO LIMITED.. Financial Services $4,190,946,670 6.44 0.18
335 BWF BLACKWALL LIMITED Financial Services $71,316,090 10.77 -1.32
336 SDV SCIDEV LTD Materials $93,003,725 4.46 2.31
337 IMB INTELLIGENT MONITORING GROUP LIMITED Commercial & Professional Services $161,468,252 10.33 -1.29
338 NHF NIB HOLDINGS LIMITED Insurance $2,716,436,049 0.00 6.73
339 AD8 AUDINATE GROUP LIMITED Technology Hardware & Equipment $705,906,858 5.04 1.47
340 DHG DOMAIN HOLDINGS AUSTRALIA LIMITED. Media & Entertainment $1,800,222,886 3.90 2.41
341 RGN REGION GROUP Equity Real Estate Investment Trusts (REITs) $2,500,044,849 5.49 0.69
342 MQG MACQUARIE GROUP LIMITED Financial Services $88,260,222,761 0.34 4.18
343 VEA VIVA ENERGY GROUP LIMITED Energy $4,178,396,187 1.06 3.91
344 TRS THE REJECT SHOP LIMITED Consumer Discretionary Distribution & Retail $112,991,478 0.81 3.99
345 NOL NOBLEOAK LIFE LIMITED Insurance $143,399,388 0.00 6.32
346 BFG BELL FINANCIAL GROUP LIMITED Financial Services $421,778,291 0.00 7.09
347 BVS BRAVURA SOLUTIONS LIMITED. Software & Services $677,014,543 4.84 1.26
348 WTN WINTON LAND LIMITED Real Estate Management & Development $489,412,664 2.61 2.87
349 STX STRIKE ENERGY LIMITED Energy $616,055,356 4.45 1.49
350 RDY READYTECH HOLDINGS LIMITED Software & Services $348,722,495 4.24 1.60
351 RFG RETAIL FOOD GROUP LIMITED Consumer Services $179,429,784 1.80 3.19
352 PGC PARAGON CARE LIMITED Health Care Equipment & Services $835,929,221 3.85 1.78
353 NTD NTAW HOLDINGS LIMITED Consumer Discretionary Distribution & Retail $53,662,437 2.25 2.81
354 CIP CENTURIA INDUSTRIAL REIT Equity Real Estate Investment Trusts (REITs) $1,885,745,070 2.58 2.56
355 GTK GENTRACK GROUP LIMITED Software & Services $993,507,542 4.85 0.72
356 MIN MINERAL RESOURCES LIMITED Materials $6,618,746,582 3.27 1.89
357 BGA BEGA CHEESE LIMITED Food, Beverage & Tobacco $1,606,169,519 3.28 1.88
358 SGP STOCKLAND Equity Real Estate Investment Trusts (REITs) $12,389,420,925 2.57 2.45
359 PNV POLYNOVO LIMITED Health Care Equipment & Services $1,367,569,734 5.07 0.38
360 CLV CLOVER CORPORATION LIMITED Materials $80,994,724 2.85 1.88