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PRMB logoPrimo Brands Corporation(PRMB)Earnings, Financials & Key Ratios

PRMB•NYSE
$19.80
$7.34B mkt cap·94.3× P/E·Price updated May 6, 2026
SectorConsumer DefensiveIndustryNon-Alcoholic BeveragesSub-IndustryBottlers and Beverage Distribution
AboutPrimo Water Corporation provides water direct to consumers and water filtration services in North America and Europe. It offers bottled water, purified bottled water, premium spring, sparkling and flavored water, mineral water, filtration equipment, and coffee; as well as water dispensers, and self-service refill drinking water. The company offers its products under the Primo, Alhambra, Crystal Rock, Mountain Valley, Deep Rock, Hinckley Springs, Crystal Springs, Kentwood Springs, Mount Olympus, Pureflo, Nursery, Sierra Springs, Sparkletts, Clear Mountain Natural Spring Water, Earth2O, Renü, Water Event Pure Water Solutions, Canadian Springs, Labrador Source, Decantae, Eden, Eden Springs, Chateaud'eau, and Mey Eden brands. It provides its services to residential customers, small and medium-sized businesses, and regional and national corporations and retailers. The company was formerly known as Cott Corporation and changed its name to Primo Water Corporation in March 2020. Primo Water Corporation was incorporated in 1955 and is headquartered in Tampa, Florida.Show more
  • Revenue$6.66B+29.3%
  • EBITDA$430M-52.1%
  • Net Income$60M+466.5%
  • EPS (Diluted)0.21+410.2%
  • Gross Margin30.32%-3.7%
  • EBITDA Margin6.46%-62.9%
  • Operating Margin6.46%-41.0%
  • Net Margin0.9%+383.3%
  • ROE1.87%+296.2%
  • ROIC5.49%-18.9%
  • Debt/Equity0.21-87.0%
  • Interest Coverage1.32-20.7%
Technical→

PRMB Key Insights

Primo Brands Corporation (PRMB) fundamental analysis — strengths, weaknesses & financial health based on data analysis

✓Strengths

  • ✓High quality earnings: Operating CF exceeds net income
  • ✓Strong 5Y sales CAGR of 27.8%

✗Weaknesses

  • ✗Shares diluted 54.7% in last year
  • ✗Thin 5Y average net margin of 0.8%
  • ✗Trading more than 30% below 52-week high

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

PRMB Price & Volume

Primo Brands Corporation (PRMB) stock price & volume — 10-year historical chart

Loading chart...

PRMB Growth Metrics

Primo Brands Corporation (PRMB) revenue, earnings & EPS growth — 3, 5 & 10-year CAGR

Revenue CAGR

10 Years8.51%
5 Years27.82%
3 Years57.89%
TTM52.89%

Profit CAGR

10 Years37.43%
5 Years-
3 Years26.63%
TTM253.71%

EPS CAGR

10 Years-
5 Years-
3 Years5.27%
TTM-10.97%

Return on Capital

10 Years4.81%
5 Years6.53%
3 Years8%
Last Year4.51%

PRMB Recent Earnings

Primo Brands Corporation (PRMB) EPS & revenue vs analyst estimates — last 4 quarters

Full history →
●Beat EPS 7/12 qtrs (58%)●Beat Revenue 9/12 qtrs (75%)
Q1 2026Latest
Feb 26, 2026
EPS
$0.26
Est $0.22
+18.2%
Revenue
$1.6B
Est $1.5B
+3.1%
Q4 2025
Nov 6, 2025
EPS
$0.41
Est $0.38
+7.9%
Revenue
$1.8B
Est $1.5B
+16.6%
Q3 2025
Aug 7, 2025
EPS
$0.36
Est $0.43
-16.3%
Revenue
$1.7B
Est $1.8B
-2.1%
Q2 2025
May 8, 2025
EPS
$0.29
Est $0.24
+20.8%
Revenue
$1.6B
Est $1.8B
-12.2%
QuarterDateEPS (Act vs Est)Revenue (Act vs Est)
Q1 2026LatestFeb 26, 2026
$0.26vs $0.22+18.2%
$1.6Bvs $1.5B+3.1%
Q4 2025Nov 6, 2025
$0.41vs $0.38+7.9%
$1.8Bvs $1.5B+16.6%
Q3 2025Aug 7, 2025
$0.36vs $0.43-16.3%
$1.7Bvs $1.8B-2.1%
Q2 2025May 8, 2025
$0.29vs $0.24+20.8%
$1.6Bvs $1.8B-12.2%
Based on last 12 quarters of dataView full earnings history →

PRMB Peer Comparison

Primo Brands Corporation (PRMB) competitors in Bottlers and Beverage Distribution — business model, growth, and fundamentals comparison

Select Columns
Stock Universe
Valuation
Growth
Profitability
Financial Health
Dividends & Buybacks
Price Performance
Technical
Fundamentals ($)
Sector-Specific
CompanyMarket CapStock PriceP/E Ratio (TTM)Revenue Growth 1YNet MarginReturn on Equity (ROE)FCF YieldDebt / Equity
FIZZ logoFIZZNational Beverage Corp.Direct Competitor3.27B34.9617.570.81%15.55%39.28%0.16
CELH logoCELHCelsius Holdings, Inc.Direct Competitor8.43B32.80131.2085.54%4.29%4.66%0.23
MNST logoMNSTMonster Beverage CorporationDirect Competitor75.51B77.2039.7910.7%22.97%23.08%
KO logoKOThe Coca-Cola CompanyProduct Competitor340.74B79.1726.041.87%27.8%41.06%1.33
PEP logoPEPPepsiCo, Inc.Product Competitor213.14B155.9625.992.25%8.77%40.1%2.43
COKE logoCOKECoca-Cola Consolidated, Inc.Product Competitor17.62B210.5230.914.76%7.72%122.9%
KDP logoKDPKeurig Dr Pepper Inc.Product Competitor38.8B28.5618.678.16%10.81%6.98%0.63
CCK logoCCKCrown Holdings, Inc.Supply Chain11.35B101.0915.844.78%5.96%21.8%1.77

Compare PRMB vs Peers

Primo Brands Corporation (PRMB) vs competitors — business, growth, and fundamentals comparison against the closest industry rivals.

Closest Rival

vs FIZZ

Most directly comparable listed peer for PRMB.

Scale Benchmark

vs KO

Larger-name benchmark to compare PRMB against a more recognizable public peer.

Peer Set

Compare Top 5

vs FIZZ, CELH, MNST, KO

PRMB Income Statement

Primo Brands Corporation (PRMB) annual income statement — 10-year revenue, gross profit & net income history

10Y historyFree accessUpdated daily
Line itemDec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25
Sales/Revenue2.27B2.37B1.8B1.95B2.07B1.69B4.7B5.15B6.66B
Revenue Growth %39.83%4.55%-24.34%8.81%6.13%-18.33%177.5%9.66%29.34%
Cost of Goods Sold1.14B1.19B726.2M839.7M915.9M674M3.35B3.53B4.64B
COGS % of Revenue50.37%50.2%40.45%42.98%44.18%39.81%71.23%68.53%69.68%
Gross Profit
1.13B▲ 0%
1.18B▲ 4.9%
1.07B▼ 9.5%
1.11B▲ 4.2%
1.16B▲ 3.9%
1.02B▼ 11.9%
1.35B▲ 32.7%
1.62B▲ 19.9%
2.02B▲ 24.6%
Gross Margin %49.63%49.8%59.55%57.02%55.82%60.19%28.77%31.47%30.32%
Gross Profit Growth %33.51%4.92%-9.53%4.17%3.91%-11.94%32.65%19.94%24.58%
Operating Expenses1.04B1.09B962.2M985.8M1.03B883.8M929.1M1.06B1.39B
OpEx % of Revenue45.96%46.02%53.59%50.46%49.77%52.2%19.77%20.52%20.86%
Selling, General & Admin1.04B1.09B962.2M985.8M1.03B883.8M924.2M1.05B1.39B
SG&A % of Revenue45.96%46.02%53.59%50.46%49.77%52.2%19.67%20.39%20.86%
Research & Development000000000
R&D % of Revenue---------
Other Operating Expenses0000004.9M6.6M0
Operating Income
83.2M▲ 0%
89.7M▲ 7.8%
107M▲ 19.3%
128M▲ 19.6%
125.5M▼ 2.0%
135.4M▲ 7.9%
422.9M▲ 212.3%
564.4M▲ 33.5%
430.4M▼ 23.7%
Operating Margin %3.67%3.78%5.96%6.55%6.05%8%9%10.95%6.46%
Operating Income Growth %121.87%7.81%19.29%19.63%-1.95%7.89%212.33%33.46%-23.74%
EBITDA271.8M284.3M275.6M330.1M344.6M317.4M728.6M897.7M430.4M
EBITDA Margin %11.98%11.98%15.35%16.9%16.62%18.75%15.51%17.42%6.46%
EBITDA Growth %44.11%4.6%-3.06%19.78%4.39%-7.89%129.55%23.21%-52.06%
D&A (Non-Cash Add-back)188.6M194.6M168.6M202.1M219.1M182M305.7M333.3M0
EBIT51.9M101.7M71.3M-70.9M75.1M146M406M360.3M0
Net Interest Income-85.5M-77.6M-77.6M-81.6M-68.8M-67.8M-288.1M-339.6M0
Interest Income000000000
Interest Expense85.5M77.6M77.6M81.6M68.8M67.8M288.1M339.6M326.5M
Other Income/Expense-116.8M-65.6M-113.3M-280.5M-119.2M-57.2M-305M-543.7M-285.4M
Pretax Income
-33.6M▲ 0%
24.1M▲ 171.7%
-6.3M▼ 126.1%
-152.5M▼ 2320.6%
6.3M▲ 104.1%
78.2M▲ 1141.3%
117.9M▲ 50.8%
20.7M▼ 82.4%
145M▲ 600.5%
Pretax Margin %-1.48%1.02%-0.35%-7.81%0.3%4.62%2.51%0.4%2.18%
Income Tax-30M-4.8M4.5M4.3M9.5M19.5M25.1M33.3M64.6M
Effective Tax Rate %89.29%-19.92%-71.43%-2.82%150.79%24.94%21.29%160.87%44.55%
Net Income
-1.4M▲ 0%
-45M▼ 3114.3%
2.9M▲ 106.4%
-185.4M▼ 6493.1%
-3.2M▲ 98.3%
29.6M▲ 1025.0%
92.8M▲ 213.5%
-16.4M▼ 117.7%
60.1M▲ 466.5%
Net Margin %-0.06%-1.9%0.16%-9.49%-0.15%1.75%1.98%-0.32%0.9%
Net Income Growth %98.2%-3114.29%106.44%-6493.1%98.27%1025%213.51%-117.67%466.46%
Net Income (Continuing)-3.6M28.9M-10.8M-156.8M-3.2M58.7M92.8M-12.6M60.1M
Discontinued Operations2.2M-73.9M13.7M-28.6M0-29.1M0-3.8M0
Minority Interest6.1M00000000
EPS (Diluted)
-0.01▲ 0%
-0.32▼ 3103.0%
0.02▲ 106.6%
-1.19▼ 5673.4%
-0.02▲ 98.3%
0.18▲ 1004.5%
0.40▲ 121.0%
-0.07▼ 117.0%
0.21▲ 410.2%
EPS Growth %98.33%-3102.97%106.62%-5673.36%98.33%1004.52%121%-117.02%410.19%
EPS (Basic)-0.01-0.320.02-1.19-0.020.180.40-0.070.21
Diluted Shares Outstanding139.08M139.1M135.22M155.45M160.78M161.88M160.62M242.31M374.87M
Basic Shares Outstanding139.08M139.1M135.22M155.45M160.78M160.76M159.45M242.31M373.51M
Dividend Payout Ratio--1120.69%--153.38%---

PRMB Balance Sheet

Primo Brands Corporation (PRMB) balance sheet — assets, liabilities & shareholders' equity

Line itemDec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25
Total Current Assets933.9M635.9M642.3M442.5M509.8M538M698M1.53B1.22B
Cash & Short-Term Investments91.9M170.8M156.9M115.1M128.4M78.8M47M614.4M376.9M
Cash Only91.9M170.8M156.9M115.1M128.4M78.8M47M614.4M376.9M
Short-Term Investments000000000
Accounts Receivable285M308.3M216.7M222.3M261.6M170.7M397.5M444M431.8M
Days Sales Outstanding45.8347.4244.0541.5446.0536.830.8831.4523.65
Inventory127.6M129.6M62.9M83.8M94.6M65.3M180.4M208.4M223.5M
Days Inventory Outstanding40.7439.7131.6136.4337.735.3619.6721.5417.57
Other Current Assets429.4M27.2M205.8M21.3M25.2M223.2M73.1M262.2M185.6M
Total Non-Current Assets3.16B2.54B2.75B3.16B3.21B3.13B4.46B9.67B9.38B
Property, Plant & Equipment584.2M624.7M743.8M866.2M895.5M692.7M2.16B2.71B2.72B
Fixed Asset Turnover3.89x3.80x2.41x2.26x2.32x2.44x2.17x1.90x2.45x
Goodwill1.1B1.14B1.05B1.28B1.32B997.2M817.4M3.57B3.58B
Intangible Assets751.1M739.2M597M987.6M969.8M723.8M1.42B3.19B2.99B
Long-Term Investments000000000
Other Non-Current Assets716.9M31.7M360.3M24.1M26.9M715.3M57M189M85.6M
Total Assets
4.09B▲ 0%
3.18B▼ 22.4%
3.39B▲ 6.8%
3.6B▲ 6.3%
3.72B▲ 3.3%
3.67B▼ 1.5%
5.15B▲ 40.5%
11.19B▲ 117.2%
10.6B▼ 5.3%
Asset Turnover0.55x0.75x0.53x0.54x0.56x0.46x0.91x0.46x0.63x
Asset Growth %3.89%-22.42%6.78%6.31%3.29%-1.51%40.55%117.21%-5.29%
Total Current Liabilities933.4M561M607.6M548.8M709.8M690.6M782.8M1.41B1.28B
Accounts Payable197.2M206.1M126.5M135.2M181.4M108M356.5M471.6M0
Days Payables Outstanding62.9663.1663.5858.7772.2958.4938.8848.75-
Short-Term Debt225.4M92M135.8M161.1M272.1M243.3M105.7M160M166.2M
Deferred Revenue (Current)0000052.3M37.8M90M0
Other Current Liabilities450.3M194.5M291.4M187.1M196.1M229.6M125.9M477.1M1.12B
Current Ratio1.00x1.13x1.06x0.81x0.72x0.78x0.89x1.08x0.95x
Quick Ratio0.86x0.90x0.95x0.65x0.58x0.68x0.66x0.94x0.78x
Cash Conversion Cycle23.6123.9812.0919.1911.4613.6711.674.24-
Total Non-Current Liabilities2.27B1.44B1.62B1.71B1.69B1.69B4.37B6.34B6.33B
Long-Term Debt2.06B1.25B1.24B1.29B1.25B1.21B3.44B4.89B474.4M
Capital Lease Obligations4.1M3.1M178.8M206.3M224.5M165M506.4M628.4M0
Deferred Tax Liabilities98.4M124.3M90.6M148.1M158.8M142.5M397M738.7M691.5M
Other Non-Current Liabilities114M69.6M112.2M67.8M64.9M171.1M22.4M80.9M5.16B
Total Liabilities3.21B2.01B2.22B2.26B2.4B2.38B5.15B7.75B7.61B
Total Debt2.29B1.34B1.55B1.65B1.74B1.62B4.05B5.68B640.6M
Net Debt2.2B1.17B1.39B1.54B1.61B1.54B4.01B5.06B263.7M
Debt / Equity2.58x1.15x1.33x1.23x1.32x1.27x1501.70x1.65x0.21x
Debt / EBITDA8.41x4.72x5.62x5.01x5.05x5.11x5.56x6.33x1.49x
Net Debt / EBITDA8.08x4.12x5.06x4.66x4.68x4.87x5.50x5.64x0.61x
Interest Coverage0.97x1.16x1.38x1.57x1.82x2.00x1.47x1.66x1.32x
Total Equity
885.7M▲ 0%
1.17B▲ 32.1%
1.17B▼ 0.4%
1.35B▲ 15.5%
1.32B▼ 2.0%
1.28B▼ 2.8%
2.7M▼ 99.8%
3.44B▲ 127463.0%
2.99B▼ 13.1%
Equity Growth %1.36%32.14%-0.36%15.49%-1.99%-2.82%-99.79%127462.96%-13.11%
Book Value per Share6.378.418.628.668.217.920.0214.217.98
Total Shareholders' Equity879.6M1.17B1.17B1.35B1.32B1.28B2.7M3.44B2.99B
Common Stock917.1M899.4M892.3M1.27B1.29B1.28B03.8M3.7M
Retained Earnings-12.2M298.8M265M81.1M16.4M-9.4M-1.01B-1.51B-2.01B
Treasury Stock000000000
Accumulated OCI-94.4M-101.7M-68.5M-86.7M-69.1M-82.2M-7.5M-17.2M-13.9M
Minority Interest6.1M00000000

PRMB Cash Flow Statement

Primo Brands Corporation (PRMB) cash flow — operating, investing & free cash flow history

Line itemDec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25
Cash from Operations176M244.3M246.8M176.2M247.1M281.6M320.9M467.2M680.3M
Operating CF Margin %7.75%10.3%13.75%9.02%11.92%16.63%6.83%9.07%10.21%
Operating CF Growth %20.96%38.81%1.02%-28.61%40.24%13.96%13.96%45.59%45.61%
Net Income-3.6M28.9M-10.8M-156.8M-3.2M58.7M92.8M-12.6M60.1M
Depreciation & Amortization188.6M194.6M168.6M202.1M219.1M182M305.7M333.3M610.2M
Stock-Based Compensation00022.1M001.3M049.9M
Deferred Taxes-33.9M-6.7M-1.1M200K4M17.3M-40.5M-78.1M-46.2M
Other Non-Cash Items24.6M14.1M68M129.8M48.8M48.8M69.4M98.1M6.3M
Working Capital Changes300K13.4M22.1M-21.2M-21.6M-25.2M-107.8M126.5M0
Change in Receivables-8M-10.8M13.9M14.2M-32.6M-2.6M51.3M83.6M-30.9M
Change in Inventory-2M-500K-5.4M1M-10.9M-9.4M23.1M-100K14.6M
Change in Payables7.3M29.2M7.7M-35.2M26.2M-5.1M-184M76.5M0
Cash from Investing-739M75.5M-147.8M-178M-242.7M-181.5M-217.6M474.4M-377.4M
Capital Expenditures-126.9M-144M-110.1M-123.3M-161.7M-168.8M-217.7M-190.9M-377.4M
CapEx % of Revenue5.59%6.07%6.13%6.31%7.8%9.97%4.63%3.71%5.66%
Acquisitions-27.7M-147.1M-1.9M-444.3M-81.5M42.7M000
Investments---------
Other Investing-584.4M358.7M-35.8M389.6M500K-55.4M3.1M675.3M0
Cash from Financing596.5M-296.6M-66M-91.1M10.8M-102.8M-162.3M-366.4M0
Debt Issued (Net)629.7M-194.8M5.9M-25.2M71.7M-26.1M67.9M261.5M0
Equity Issued (Net)-300K-1000K-1000K-1000K-1000K-1000K-1000K-1000K0
Dividends Paid-33.4M-33.4M-32.5M-39.6M-38.9M-45.4M-49.9M-615.8M0
Share Repurchases-3.8M-74.9M-31.8M-33.2M-48.1M-27.7M-183.6M-10.4M0
Other Financing500K100K-8.8M4.6M600K-6.1M0-3.6M0
Net Change in Cash
13.8M▲ 0%
78.9M▲ 471.7%
-13.9M▼ 117.6%
-41.8M▼ 200.7%
13.3M▲ 131.8%
-49.6M▼ 472.9%
-31.8M▲ 35.9%
567.4M▲ 1884.3%
0▼ 100.0%
Free Cash Flow
54.7M▲ 0%
113.5M▲ 107.5%
145.5M▲ 28.2%
62.2M▼ 57.3%
95.1M▲ 52.9%
119.5M▲ 25.7%
117.3M▼ 1.8%
317M▲ 170.2%
302.9M▼ 4.4%
FCF Margin %2.41%4.78%8.1%3.18%4.59%7.06%2.5%6.15%4.55%
FCF Growth %8.53%107.5%28.19%-57.25%52.89%25.66%-1.84%170.25%-4.45%
FCF per Share0.390.821.080.400.590.740.731.310.81
FCF Conversion (FCF/Net Income)-125.71x-5.43x85.10x-0.95x-77.22x9.51x3.46x-28.49x11.32x
Interest Paid00087.2M111.27M198.2M274.3M320.2M0
Taxes Paid0008.1M00000

PRMB Key Ratios

Primo Brands Corporation (PRMB) financial ratios — P/E, ROE, debt and 30+ core market and balance-sheet ratios

Metric2016201720182019202020212022202320242025
Return on Equity (ROE)-10.24%-0.16%-4.38%0.25%-14.75%-0.24%2.27%14.44%-0.95%1.87%
Return on Invested Capital (ROIC)1.08%2.05%2.48%3.27%3.53%3.23%3.53%9.28%6.76%5.49%
Gross Margin51.98%49.63%49.8%59.55%57.02%55.82%60.19%28.77%31.47%30.32%
Net Margin-4.79%-0.06%-1.9%0.16%-9.49%-0.15%1.75%1.98%-0.32%0.9%
Debt / Equity2.52x2.58x1.15x1.33x1.23x1.32x1.27x1501.70x1.65x0.21x
Interest Coverage0.87x0.97x1.16x1.38x1.57x1.82x2.00x1.47x1.66x1.32x
FCF Conversion-1.87x-125.71x-5.43x85.10x-0.95x-77.22x9.51x3.46x-28.49x11.32x
Revenue Growth-44.86%39.83%4.55%-24.34%8.81%6.13%-18.33%177.5%9.66%29.34%

PRMB SEC Filings & Documents

Primo Brands Corporation (PRMB) SEC filings — annual & quarterly reports (10-K, 10-Q)

8-K Announcements

6
Material company update

Apr 1, 2026·SEC

Material company update

Feb 26, 2026·SEC

Material company update

Jan 16, 2026·SEC

10-K Annual Reports

2
FY 2026

Feb 27, 2026·SEC

FY 2025

Feb 27, 2025·SEC

10-Q Quarterly Reports

4
FY 2025

Nov 6, 2025·SEC

FY 2025

Aug 7, 2025·SEC

FY 2025

May 8, 2025·SEC

PRMB Frequently Asked Questions

Primo Brands Corporation (PRMB) stock FAQ — growth, dividends, profitability & financials explained

Growth & Financials

Primo Brands Corporation (PRMB) reported $6.66B in revenue for fiscal year 2025. This represents a 565% increase from $1.00B in 1996.

Primo Brands Corporation (PRMB) grew revenue by 29.3% over the past year. This is strong growth.

Yes, Primo Brands Corporation (PRMB) is profitable, generating $60.1M in net income for fiscal year 2025 (0.9% net margin).

Dividend & Returns

Primo Brands Corporation (PRMB) has a return on equity (ROE) of 1.9%. This is below average, suggesting room for improvement.

Primo Brands Corporation (PRMB) generated $250.5M in free cash flow for fiscal year 2025. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

Explore More PRMB

Primo Brands Corporation (PRMB) financial analysis — history, returns, DCA and operating performance tools

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Revenue History

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Valuation

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