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Stock ScreenerStock IdeasExceptional Earnings Growth
Exceptional Earnings Growth
Companies that grew earnings 50%+ in the last year, while maintaining earnings growth of 20%+ over the last 5 years

Earnings Growth Y/Y: Very High
Earnings Growth 5Y: High
Ticker
Company
Performance Score
Market Cap
Revenue
EBITDA
Earnings
EPS
Revenue Growth Y/Y
Revenue Growth 5Y
Earnings Growth Y/Y
Earnings Growth 5Y
Earnings Date
SBGI
SINCLAIR BROADCAST GROUP INC
$1.43B$4.44B$4.60B$2.51B$34.82-27.97%11.26%5,256.92%67.39%2023-02-22
ARCH
ARCH RESOURCES INC
$2.66B$3.67B$1.25B$1.09B$66.48108.22%9.42%3,096.15%53.43%2023-02-13
AZTA
AZENTA INC
$4.27B$555.50M$2.19B$2.13B$28.488.14%1.04%1,811.41%99.55%2023-02-06
CWEN
CLEARWAY ENERGY INC
$6.80B$1.24B$1.58B$562.00M$4.82-0.64%3.90%1,506.67%62.91%2023-03-02
FANG
DIAMONDBACK ENERGY INC
$26.57B$9.64B$7.02B$4.38B$24.6873.79%57.60%1,192.15%42.43%2023-02-21
IMO
IMPERIAL OIL LTD
$33.36B$41.99B$7.55B$4.69B$7.1576.77%12.83%1,107.98%30.60%2023-01-31
PATI
PATRIOT TRANSPORTATION HOLDING INC
$27.42M$87.88M$16.43M$7.19M$2.088.14%-4.76%1,055.56%30.48%2023-02-02
VRRM
VERRA MOBILITY CORP
$2.31B$725.51M$318.90M$83.32M$0.5350.90%N/A960.00%77.60%2023-02-27
DCP
DCP MIDSTREAM LP
$8.76B$15.44B$1.76B$1.05B$5.0371.27%13.75%926.53%47.93%2023-02-07
NISN
NISUN INTERNATIONAL ENTERPRISE DEVELOPMENT GROUP CO LTD
$23.84M$239.32M$46.72M$34.17M$1.26253.79%49.69%800.00%34.15%
EC
ECOPETROL SA
$23.19B$24.42B$10.37B$4.16B$2.0253.85%7.00%731.11%36.47%2023-02-28
CAL
CALERES INC
$894.68M$2.95B$295.27M$174.79M$4.7210.55%1.62%728.07%27.33%2023-03-13
OI
O-I GLASS INC
$2.93B$6.75B$1.49B$614.00M$3.957.74%-0.14%706.12%21.37%2023-01-31
RCMT
RCM TECHNOLOGIES INC
$130.40M$279.38M$30.60M$22.03M$2.1355.11%9.21%610.00%74.94%2023-03-08
THR
THERMON GROUP HOLDINGS INC
$755.94M$399.20M$73.60M$37.50M$1.1330.71%10.23%606.25%21.32%2023-02-02
CVLG
COVENANT LOGISTICS GROUP INC
$436.00M$1.22B$209.31M$114.91M$7.4824.36%11.90%592.59%62.51%
APA
APA CORP
$14.70B$12.16B$6.80B$3.61B$10.4878.38%16.34%563.29%43.37%2023-02-22
ISTR
INVESTAR HOLDING CORP
$210.68M$103.01M$46.75M$33.75M$3.3145.27%20.40%536.54%27.56%
STAR
ISTAR INC
$789.81M$22.07M$533.84M$491.58M$7.40-88.80%-49.54%532.48%40.53%2023-02-22
NRP
NATURAL RESOURCE PARTNERS LP
$676.70M$375.82M$284.79M$229.39M$18.13118.98%9.00%520.89%38.87%2023-03-13
AOSL
ALPHA & OMEGA SEMICONDUCTOR LTD
$928.31M$798.99M$535.45M$455.78M$16.9915.40%15.37%517.82%92.66%2023-02-06
TEF
TELEFONICA S A
$22.91B$44.63B$13.12B$9.25B$1.52-15.04%-4.01%458.46%31.12%2023-02-23
POST
POST HOLDINGS INC
$5.34B$5.85B$1.54B$756.60M$12.4217.48%2.29%413.22%89.37%2023-02-02
PXD
PIONEER NATURAL RESOURCES CO
$55.69B$23.50B$11.76B$7.13B$29.5092.92%38.25%406.87%108.99%2023-02-22
HDSN
HUDSON TECHNOLOGIES INC
$440.84M$315.56M$139.84M$104.91M$2.3478.20%20.63%377.55%47.96%2023-03-06
VALE
VALE SA
$90.31B$54.50B$31.83B$22.45B$4.4737.82%14.67%370.53%42.16%2023-02-16
ASH
ASHLAND INC
$5.83B$2.39B$1.34B$927.00M$16.7113.26%0.70%360.33%341.16%2023-01-31
CNHI
CNH INDUSTRIAL NV
$30.37B$27.76B$3.28B$1.46B$1.1014.43%1.69%358.33%28.83%2023-02-02
PGTI
PGT INNOVATIONS INC
$1.25B$1.46B$228.32M$102.47M$1.7234.94%24.50%352.63%28.55%2023-02-15
GEHI
GRAVITAS EDUCATION HOLDINGS INC
$26.30M$119.80MN/A$29.26M$21.000.86%-0.64%337.50%26.05%
CAR
AVIS BUDGET GROUP INC
$8.11B$11.79B$6.68B$2.72B$54.5745.60%6.25%335.51%106.31%2023-02-13
HAL
HALLIBURTON CO
$36.79B$18.99B$3.01B$1.74B$1.9333.23%0.31%328.89%50.50%
MTDR
MATADOR RESOURCES CO
$7.95B$2.92B$2.06B$1.18B$9.97120.83%43.72%315.42%37.35%2023-02-20
AMOV
AMERICA MOVIL SAB DE CV
$71.14B$41.00$20.55B$9.43B$0.02-100.00%-98.46%300.00%88.82%2023-02-14
SMCI
SUPER MICRO COMPUTER INC
$3.93B$6.02B$575.64M$444.14M$8.5457.15%17.61%291.74%48.31%2023-01-31
HEES
H&E EQUIPMENT SERVICES INC
$1.84B$1.17B$516.23M$134.10M$3.6911.76%3.66%288.42%29.33%2023-02-22
SXC
SUNCOKE ENERGY INC
$757.29M$1.82B$295.80M$101.60M$1.2030.20%7.05%287.10%71.88%2023-02-02
AEL
AMERICAN EQUITY INVESTMENT LIFE HOLDING CO
$4.06B$1.87B$1.75B$1.29B$13.84-48.19%-10.60%285.52%35.95%2023-02-16
BSET
BASSETT FURNITURE INDUSTRIES INC
$166.69M$485.60M$85.39M$65.35M$6.9612.70%1.42%280.33%32.41%2023-03-29
DCO
DUCOMMUN INC
$680.03M$689.11M$213.77M$131.54M$11.057.95%4.30%279.73%55.90%2023-02-21
CCRN
CROSS COUNTRY HEALTHCARE INC
$1.02B$2.82B$311.10M$227.24M$6.13125.24%26.57%278.40%189.78%2023-02-21
UFCS
UNITED FIRE GROUP INC
$764.49M$972.62M$74.68M$52.65M$2.10-11.95%-1.40%268.42%26.43%2023-02-15
MERC
MERCER INTERNATIONAL INC
$825.10M$2.22B$634.90M$301.54M$4.5731.76%16.05%262.70%43.93%2023-02-16
ICL
ICL GROUP LTD
$10.33B$9.96B$4.12B$2.11B$1.6359.80%13.05%262.22%55.38%2023-02-15
DINO
HF SINCLAIR CORP
$11.43B$34.84B$3.74B$2.30B$10.54122.39%21.40%262.20%40.87%2023-02-24
TGS
GAS TRANSPORTER OF THE SOUTH INC
$1.67B$780.49M$527.99M$183.61M$1.22-12.68%-1.13%253.52%26.44%2023-03-07
CVX
CHEVRON CORP
$346.99B$237.91B$63.62B$34.17B$17.6570.44%11.90%240.08%38.61%
ATCO
ATLAS CORP
$4.17B$1.69B$1.36B$637.40M$2.216.84%15.27%234.85%35.72%2023-02-15
PFG
PRINCIPAL FINANCIAL GROUP INC
$22.77B$18.46B$6.89B$5.29B$20.9332.46%5.14%232.75%27.63%2023-01-31
TA
TRAVELCENTERS OF AMERICA INC
$663.66M$10.22B$319.25M$130.05M$8.7755.09%12.65%228.46%24.35%2023-02-20
SIM
GRUPO SIMEC SAB DE CV
$4.89B$2.73B$740.03M$462.95M$3.0050.53%15.37%227.88%28.16%2023-02-28
HUBG
HUB GROUP INC
$2.78B$5.31B$633.80M$361.99M$10.8135.19%13.68%227.58%46.35%2023-02-02
HSBC
HSBC HOLDINGS PLC
$153.29B$63.94B$22.42B$12.61B$3.101.37%1.34%226.32%54.69%2023-02-21
FWRD
FORWARD AIR CORP
$2.81B$1.95B$305.29M$190.71M$7.0525.71%11.03%219.00%26.81%2023-02-08
RYI
RYERSON HOLDING CORP
$1.40B$6.57B$789.60M$521.50M$13.7231.53%15.21%208.31%132.95%2023-02-21
CPSS
CONSUMER PORTFOLIO SERVICES INC
$197.44M$316.05M$199.53M$90.81M$4.2521.15%-6.20%195.14%36.10%2023-02-13
PSA
PUBLIC STORAGE
$52.57B$4.02B$5.55B$4.34B$24.7524.01%8.70%194.99%29.26%2023-02-20
WCC
WESCO INTERNATIONAL INC
$7.40B$20.71B$1.50B$751.56M$14.8418.40%22.61%187.60%30.24%2023-02-14
DENN
DENNY's CORP
$691.38M$443.22M$169.60M$105.40M$1.6819.58%-3.27%184.75%25.48%2023-02-13
MCHP
MICROCHIP TECHNOLOGY INC
$42.72B$7.64B$3.59B$1.84B$3.3426.50%15.47%183.05%20.04%2023-02-02
HAE
HAEMONETICS CORP
$4.31B$1.08B$227.41M$86.05M$1.6816.05%3.96%175.41%88.82%2023-02-07
BHP
BHP GROUP LTD
$177.00B$65.10B$48.29B$30.90B$12.2114.37%12.74%173.20%40.71%2023-02-20
GSK
GSK PLC
$71.13B$39.61B$17.98B$15.93B$7.912.41%-0.55%171.70%37.41%2023-02-01
TRU
TRANSUNION
$13.80B$3.46B$2.00B$1.24B$6.4728.83%13.15%163.01%36.81%2023-02-14
CRH
CRH PUBLIC LTD CO
$35.97B$31.04B$6.65B$3.87B$5.038.75%2.96%162.53%22.94%2023-03-02
BGSF
BGSF INC
$152.77M$235.71M$42.18M$28.94M$2.7738.44%-2.03%161.32%21.64%2023-03-07
PHG
KONINKLIJKE PHILIPS NV
$14.78B$19.50B$5.37B$3.77B$4.17-7.66%1.23%160.95%20.18%2023-01-30
DSGR
DISTRIBUTION SOLUTIONS GROUP INC
$789.00M$888.43M$71.66M$20.03M$1.5389.86%24.87%159.32%23.16%2023-02-22
ROP
ROPER TECHNOLOGIES INC
$46.04B$5.70B$3.45B$2.90B$27.4811.03%5.35%157.79%31.61%
BKI
BLACK KNIGHT INC
$9.50B$1.55B$979.10M$495.60M$3.208.63%8.26%156.00%35.91%2023-02-13
XPO
XPO INC
$4.54B$13.11B$1.71B$882.00M$7.685.85%-2.48%154.30%41.79%2023-02-08
ON
ON SEMICONDUCTOR CORP
$31.86B$8.07B$2.72B$1.72B$3.9827.27%8.26%150.31%33.46%2023-02-06
CVCO
CAVCO INDUSTRIES INC
$2.41B$2.10B$316.31M$266.76M$29.5263.62%21.09%147.86%45.22%2023-02-02
EOG
EOG RESOURCES INC
$79.10B$25.03B$13.29B$7.47B$12.8260.81%19.50%146.54%264.23%2023-02-23
CPHC
CANTERBURY PARK HOLDING CORP
$132.93M$67.66M$20.34M$13.07M$2.7128.71%3.65%141.96%32.64%2023-03-20
CLFD
CLEARFIELD INC
$955.68M$270.88M$67.56M$49.36M$3.5892.45%29.65%141.89%66.47%2023-02-02
RLGT
RADIANT LOGISTICS INC
$276.96M$1.34B$71.87M$39.43M$0.7947.53%12.02%139.39%62.37%
CC
CHEMOURS CO
$5.30B$7.03B$1.57B$908.00M$5.7215.09%3.46%139.33%30.01%2023-02-09
R
RYDER SYSTEM INC
$4.75B$11.52B$3.26B$842.04M$16.5524.23%10.27%139.16%34.79%2023-02-15
CSL
CARLISLE COMPANIES INC
$12.85B$6.51B$1.47B$877.90M$16.8647.27%13.86%138.47%27.07%2023-02-07
MATX
MATSON INC
$2.42B$4.81B$2.03B$1.38B$34.1443.18%18.59%138.24%76.73%2023-02-21
UNVR
UNIVAR SOLUTIONS INC
$5.58B$11.38B$1.13B$630.50M$3.7425.44%7.02%136.71%74.67%2023-02-21
CSIQ
CANADIAN SOLAR INC
$2.63B$7.03BN/A$188.10M$2.9346.70%18.95%136.29%47.48%2023-03-22
TMHC
TAYLOR MORRISON HOME CORP
$3.73B$8.24B$1.41B$1.05B$8.8725.71%16.84%132.81%37.12%2023-02-15
TRNO
TERRENO REALTY CORP
$4.89B$260.88M$240.55M$170.70M$2.2824.15%15.36%132.65%24.25%2023-02-07
GHI
GREYSTONE HOUSING IMPACT INVESTORS LP
$428.71M$79.02M$97.42M$70.24M$2.8227.55%4.17%131.07%26.19%2023-02-22
VPG
VISHAY PRECISION GROUP INC
$580.00M$356.36M$58.82M$33.19M$2.4417.48%8.16%130.19%20.26%2023-02-14
RRR
RED ROCK RESORTS INC
$4.66B$1.66B$469.89M$262.37M$4.087.91%0.01%129.21%47.72%2023-02-07
BELFA
BEL FUSE INC
$461.75M$632.17M$70.42M$46.66M$3.5623.36%5.22%128.21%29.97%2023-02-22
DMLP
DORCHESTER MINERALS LP
$1.15B$162.22M$136.67M$121.59M$3.30115.63%27.31%126.03%27.75%2023-02-22
AMN
AMN HEALTHCARE SERVICES INC
$4.17B$5.48B$832.22M$478.47M$10.4468.51%22.74%125.49%33.52%2023-02-16
NVS
NOVARTIS AG
$193.92B$52.26B$21.05B$21.80B$9.79-0.23%1.06%125.06%28.17%2023-02-01
DLHC
DLH HOLDINGS CORP
$159.31M$395.17M$40.94M$23.29M$1.8260.58%27.86%124.69%44.39%2023-02-08
MGM
MGM RESORTS INTERNATIONAL
$15.75B$12.59B$5.14B$1.32B$2.9855.14%4.47%122.39%23.91%2023-02-08
BLDR
BUILDERS FIRSTSOURCE INC
$11.38B$23.00B$4.37B$2.81B$16.4729.31%27.59%121.37%84.52%2023-02-27
CHDN
CHURCHILL DOWNS INC
$9.29B$1.69B$888.70M$481.70M$12.6612.17%27.86%120.17%36.38%2023-02-22
MOS
MOSAIC CO
$16.86B$18.48B$6.05B$3.72B$10.3368.45%20.82%118.39%60.83%2023-02-20
PLAB
PHOTRONICS INC
$1.16B$824.55M$260.76M$118.79M$1.9624.22%12.84%117.78%59.48%2023-02-21
MPW
MEDICAL PROPERTIES TRUST INC
$7.81B$1.57B$2.00B$1.25B$2.096.98%19.20%117.71%23.08%2023-02-01
CMC
COMMERCIAL METALS CO
$6.43B$9.16B$1.83B$1.25B$10.4025.13%17.63%116.22%73.58%2023-03-15
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