ShareRanker.com

An ASX implementation of Joel Greenblatt's Magic Formula

# Symbol Name Sector Market Cap ROC Earnings Yield
211 PNR PANTORO GOLD LIMITED Materials $2,313,841,924 10.97 2.52
212 NWS NEWS CORPORATION.. Media & Entertainment $25,671,820,077 9.88 2.84
213 FRI FINBAR GROUP LIMITED Real Estate Management & Development $223,140,976 3.26 6.44
214 FRW FREIGHTWAYS GROUP LIMITED Transportation $2,181,230,143 8.07 3.32
215 PNV POLYNOVO LIMITED Health Care Equipment & Services $1,025,901,841 13.88 1.27
216 PGC PARAGON CARE LIMITED Health Care Equipment & Services $471,762,035 6.28 4.35
217 CIA CHAMPION IRON LIMITED Materials $2,559,604,804 7.44 3.68
218 PRN PERENTI LIMITED Materials $2,688,057,374 6.17 4.41
219 TYR TYRO PAYMENTS LIMITED Financial Services $600,030,819 8.92 2.92
220 SGI STEALTH GROUP HOLDINGS LTD Capital Goods $89,377,737 7.22 3.81
221 EBO EBOS GROUP LIMITED Health Care Equipment & Services $5,274,705,185 6.43 4.20
222 PRG PRL GLOBAL LTD Materials $197,561,902 4.55 5.40
223 OCA OCEANIA HEALTHCARE LIMITED Health Care Equipment & Services $412,811,687 2.49 6.69
224 TGP 360 CAPITAL GROUP Financial Services $61,522,148 2.05 7.04
225 QAL QUALITAS LIMITED Real Estate Management & Development $1,011,586,339 7.69 3.31
226 REH REECE LIMITED Capital Goods $7,338,380,296 5.91 4.31
227 IMD IMDEX LIMITED Materials $1,878,459,483 8.55 2.79
228 ALQ ALS LIMITED Commercial & Professional Services $11,056,952,108 9.50 2.41
229 BTI BAILADOR TECHNOLOGY INVESTMENTS LIMITED Financial Services $187,303,161 0.00 10.43
230 MVF MONASH IVF GROUP LIMITED Health Care Equipment & Services $288,329,781 0.05 8.65
231 ASG AUTOSPORTS GROUP LIMITED. Consumer Discretionary Distribution & Retail $701,284,231 4.79 4.66
232 JLG JOHNS LYNG GROUP LIMITED Capital Goods $1,134,683,228 6.97 3.28
233 FLT FLIGHT CENTRE TRAVEL GROUP LIMITED Consumer Services $2,566,707,938 5.90 4.08
234 WTC WISETECH GLOBAL LIMITED Software & Services $28,773,648,291 12.03 1.08
235 TRA TURNERS AUTOMOTIVE GROUP LIMITED Consumer Discretionary Distribution & Retail $535,766,946 1.66 6.60
236 LFS LATITUDE GROUP HOLDINGS LIMITED Financial Services $1,190,454,395 4.34 4.94
237 ECH ECHELON RESOURCES LIMITED Energy $78,442,305 5.00 4.38
238 SHL SONIC HEALTHCARE LIMITED Health Care Equipment & Services $10,660,712,646 4.08 4.95
239 MFG MAGELLAN FINANCIAL GROUP LIMITED Financial Services $2,029,268,800 0.00 8.91
240 TWR TOWER LIMITED Insurance $541,232,259 0.00 13.98