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SSL logoSasol Limited(SSL)Earnings, Financials & Key Ratios

SSL•NYSE
$13.24
$8.36B mkt cap·20.7× P/E·Price updated May 6, 2026
SectorBasic MaterialsIndustrySpecialty ChemicalsSub-IndustryCatalysts and process chemicals
AboutSasol Limited, together with its subsidiaries, operates as an integrated chemical and energy company in South Africa. The company operates through six segments: Mining, Gas, Fuels, Chemicals Africa, Chemicals America, and Chemicals Eurasia. It offers acetate, acrylate monomer, ammonia, carbon, chlor alkali, explosive, fertilizer, glycol ether, hydrocarbon blend, inorganic, ketone, mining, polymer, and wax chemicals, as well as lacquer thinners, light alcohols, and phenolics or cresylic acids. The company also markets and sells brick, electrical, engine, hand, non-ferrous, and window cleaners, as well as parts wash products and super soaps; degreasers; bitumen, fuel oils, lubricants, motor fuels, and gas-to-liquid fuels; and other fuels, such as illuminating paraffin, light cycle and distillate oils, light straight run fuels, and synthetic paraffinic kerosene. In addition, it wholesales diesel and petrol; operates coal mines; offers engineering services; and develops lower carbon solutions. Further, the company explores, develops, produces, markets, and distributes natural gas and related products through pipelines. It serves adhesive, agriculture and forestry, automotive and transportation, aviation, burner fuel, chemical, construction and material, corrosion protection, electrical and electronic, flavor and fragrance, furniture, health and medical, household and consumer goods, industrial product, lubricant, manufacturing, mining, packaging, paint and coating, personal care, pharmaceutical, plastic and polymer, publishing and ink, pulp and paper, rubber and tyre, specialty graphite, steel and foundry, textile and leather, water treatment, and other industries. Sasol Limited was founded in 1950 and is headquartered in Johannesburg, South Africa.Show more
  • Revenue$249.1B-9.5%
  • EBITDA$52.47B-14.4%
  • Net Income$6.77B+115.3%
  • EPS (Diluted)10.56+115.1%
  • Gross Margin42.54%-3.9%
  • EBITDA Margin21.06%-5.5%
  • Operating Margin15.44%-11.7%
  • Net Margin2.72%+116.9%
  • ROE4.44%+117.5%
  • ROIC12.16%-11.8%
  • Debt/Equity0.77-16.5%
  • Interest Coverage4.12-12.1%
Technical→

SSL Key Insights

Sasol Limited (SSL) fundamental analysis — strengths, weaknesses & financial health based on data analysis

✓Strengths

  • ✓Momentum leader: RS Rating 95 (top 5%)
  • ✓High quality earnings: Operating CF exceeds net income
  • ✓Trading at only 0.9x book value

✗Weaknesses

  • ✗Thin 5Y average net margin of 1.7%

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

SSL Price & Volume

Sasol Limited (SSL) stock price & volume — 10-year historical chart

Loading chart...

SSL Growth Metrics

Sasol Limited (SSL) revenue, earnings & EPS growth — 3, 5 & 10-year CAGR

Revenue CAGR

10 Years3%
5 Years5.52%
3 Years-2.98%
TTM-12.54%

Profit CAGR

10 Years-13.75%
5 Years-
3 Years-44.2%
TTM-210.62%

EPS CAGR

10 Years-14.18%
5 Years-
3 Years-44.38%
TTM-212.63%

Return on Capital

10 Years10.6%
5 Years13.43%
3 Years14.56%
Last Year12.81%

SSL Recent Earnings

Sasol Limited (SSL) EPS & revenue vs analyst estimates — last 4 quarters

Full history →
●Beat EPS 5/12 qtrs (42%)●Beat Revenue 10/12 qtrs (83%)
Q1 2026Latest
Feb 23, 2026
EPS
$0.58
Est $0.58
+0.5%
Revenue
$7.6B
Est $7.5B
+1.3%
Q3 2025
Aug 25, 2025
EPS
$0.19
Est $1.15
-83.7%
Revenue
$7.1B
Est $7.1B
+0.3%
Q3 2025
Aug 24, 2025
EPS
$1.41
Est $1.15
+22.6%
Revenue
$7.2B
Est $7.1B
+1.4%
Q1 2025
Feb 24, 2025
EPS
$0.38
Est $0.75
-49.8%
Revenue
$6.4B
Est $6.7B
-4.1%
QuarterDateEPS (Act vs Est)Revenue (Act vs Est)
Q1 2026LatestFeb 23, 2026
$0.58vs $0.58+0.5%
$7.6Bvs $7.5B+1.3%
Q3 2025Aug 25, 2025
$0.19vs $1.15-83.7%
$7.1Bvs $7.1B+0.3%
Q3 2025Aug 24, 2025
$1.41vs $1.15+22.6%
$7.2Bvs $7.1B+1.4%
Q1 2025Feb 24, 2025
$0.38vs $0.75-49.8%
$6.4Bvs $6.7B-4.1%
Based on last 12 quarters of dataView full earnings history →

SSL Peer Comparison

Sasol Limited (SSL) competitors in Catalysts and process chemicals — 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
LYB logoLYBLyondellBasell Industries N.V.Direct Competitor23.67B73.48-31.27-25.18%-3.44%-7.2%1.56
DOW logoDOWDow Inc.Direct Competitor27.71B38.50-10.43-6.97%-7.02%-15.35%1.12
DD logoDDDuPont de Nemours, Inc.Direct Competitor20.52B50.06-26.91-44.7%-0.3%-0.15%0.23
HUN logoHUNHuntsman CorporationDirect Competitor2.63B15.10-9.50-5.85%-5.69%-8.14%0.92
WLK logoWLKWestlake CorporationDirect Competitor12.77B99.73-8.50-8.01%-14.91%-16.76%0.69
EMN logoEMNEastman Chemical CompanyDirect Competitor8.66B75.7418.47-6.71%4.62%6.69%0.84
CVX logoCVXChevron CorporationProduct Competitor369.41B185.1327.92-4.64%6.67%7.18%0.24
XOM logoXOMExxon Mobil CorporationProduct Competitor629.6B148.5622.17-4.52%8.91%10.74%0.16

Compare SSL vs Peers

Sasol Limited (SSL) vs competitors — business, growth, and fundamentals comparison against the closest industry rivals.

Closest Rival

vs LYB

Most directly comparable listed peer for SSL.

Scale Benchmark

vs XOM

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

Peer Set

Compare Top 5

vs LYB, DOW, DD, HUN

SSL Income Statement

Sasol Limited (SSL) annual income statement — 10-year revenue, gross profit & net income history

10Y historyFree accessUpdated daily
Line itemJun'17Jun'18Jun'19Jun'20Jun'21Jun'22Jun'23Jun'24Jun'25TTM
Sales/Revenue172.41B181.46B203.58B190.37B201.91B272.75B289.7B275.11B249.1B504.51B
Revenue Growth %-0.31%5.25%12.19%-6.49%6.06%35.08%6.21%-5.03%-9.46%-12.54%
Cost of Goods Sold80.09B85.77B100.82B100.6B97.48B137.32B167.37B153.4B143.14B322.54B
COGS % of Revenue46.45%47.27%49.52%52.85%48.28%50.35%57.78%55.76%57.46%-
Gross Profit
92.32B▲ 0%
95.69B▲ 3.7%
102.76B▲ 7.4%
89.77B▼ 12.6%
104.42B▲ 16.3%
135.43B▲ 29.7%
122.32B▼ 9.7%
121.71B▼ 0.5%
105.95B▼ 12.9%
181.96B▲ 0%
Gross Margin %53.55%52.73%50.48%47.15%51.72%49.65%42.22%44.24%42.54%36.07%
Gross Profit Growth %-0.91%3.66%7.39%-12.65%16.33%29.69%-9.67%-0.5%-12.94%-
Operating Expenses60.99B78.24B92.39B201.64B87.85B75.13B100.95B73.6B67.49B97.45B
OpEx % of Revenue35.38%43.11%45.38%105.92%43.51%27.55%34.85%26.75%27.09%-
Selling, General & Admin30.82B37.39B45.39B45.26B40.87B43.05B46.47B45.91B43.06B69.8B
SG&A % of Revenue17.88%20.61%22.29%23.78%20.24%15.78%16.04%16.69%17.28%-
Research & Development0000000000
R&D % of Revenue----------
Other Operating Expenses000000027.68B24.43B2M
Operating Income
32.95B▲ 0%
27.71B▼ 15.9%
28.64B▲ 3.4%
13.32B▼ 53.5%
25.64B▲ 92.5%
50.34B▲ 96.3%
54.49B▲ 8.3%
48.11B▼ 11.7%
38.46B▼ 20.0%
84.51B▲ 0%
Operating Margin %19.11%15.27%14.07%7%12.7%18.45%18.81%17.49%15.44%16.75%
Operating Income Growth %-7.32%-15.89%3.36%-53.51%92.54%96.31%8.26%-11.71%-20.05%-
EBITDA49.32B43.92B45.07B31.29B48.22B67.98B68.56B61.32B52.47B110.53B
EBITDA Margin %28.61%24.2%22.14%16.43%23.88%24.92%23.67%22.29%21.06%21.91%
EBITDA Growth %-5.01%-10.95%2.63%-30.59%54.12%40.99%0.86%-10.56%-14.44%-20.85%
D&A (Non-Cash Add-back)16.37B16.2B16.43B17.97B22.57B17.64B14.07B13.21B14B26.02B
EBIT35.55B32.95B27.71B28.64B13.32B25.64B50.4B44.66B21.62B67.23B
Net Interest Income0006.43B5.86B4.75B6.86B-7B-6.54B-13.05B
Interest Income1.32B1.75B2.4B6.43B5.86B4.75B6.86B3.23B2.92B2.49B
Interest Expense000000010.27B9.34B15.53B
Other Income/Expense-13.41B-3.31B-14.81B-19.27B-118.36B-29.12B4.03B-82.61B-26.18B-117.79B
Pretax Income
30.01B▲ 0%
15.7B▼ 47.7%
7.97B▼ 49.3%
-118.31B▼ 1584.8%
10.72B▲ 109.1%
55.54B▲ 418.3%
14.51B▼ 73.9%
-34.51B▼ 337.7%
12.28B▲ 135.6%
-33.28B▲ 0%
Pretax Margin %17.41%8.65%3.91%-62.15%5.31%20.36%5.01%-12.54%4.93%-6.6%
Income Tax8.49B5.56B2.8B26.39B185M13.87B5.18B9.74B4.56B11.61B
Effective Tax Rate %28.31%35.39%35.18%-22.31%1.73%24.97%35.7%-28.22%37.09%-34.88%
Net Income
20.37B▲ 0%
8.73B▼ 57.2%
3.39B▼ 61.2%
-91.75B▼ 2807.4%
9.03B▲ 109.8%
38.96B▲ 331.3%
8.8B▼ 77.4%
-44.27B▼ 603.1%
6.77B▲ 115.3%
-46.86B▲ 0%
Net Margin %11.82%4.81%1.66%-48.2%4.47%14.28%3.04%-16.09%2.72%-9.29%
Net Income Growth %54.06%-57.16%-61.18%-2807.41%109.84%331.31%-77.41%-603.14%115.29%-210.62%
Net Income (Continuing)15.03B21.51B10.15B5.17B-91.92B10.53B41.67B-44.24B7.73B-44.89B
Discontinued Operations0000000000
Minority Interest5.52B5.62B5.88B4.94B5.98B4.57B4.62B4.42B5.18B5.39B
EPS (Diluted)
33.27▲ 0%
14.18▼ 57.4%
5.46▼ 61.5%
-148.49▼ 2819.6%
14.39▲ 109.7%
61.36▲ 326.4%
13.02▼ 78.8%
-69.94▼ 637.2%
10.56▲ 115.1%
-72.16▲ 0%
EPS Growth %53.6%-57.38%-61.5%-2819.6%109.69%326.41%-78.78%-637.17%115.1%-212.63%
EPS (Basic)33.3614.265.46-148.4914.5762.3414.00-69.9410.56-
Diluted Shares Outstanding612.4M615.9M620.3M617.9M627.8M634.9M661.9M633M640.67M649.38M
Basic Shares Outstanding612.38M615.59M620.3M617.9M627.66M634.88M675.64M632.99M640.67M649.38M
Dividend Payout Ratio52.42%110.17%234.64%-0.34%0.12%0.56%---

SSL Balance Sheet

Sasol Limited (SSL) balance sheet — assets, liabilities & shareholders' equity

Line itemJun'17Jun'18Jun'19Jun'20Jun'21Jun'22Jun'23Jun'24Jun'25TTM
Total Current Assets87.95B81.26B78.02B177.97B105.16B132.26B134.53B126.72B130.15B119.14B
Cash & Short-Term Investments27.64B17.21B16.51B34.74B31.23B43.14B53.93B47.56B46.66B39.96B
Cash Only27.64B17.13B15.88B34.74B31.23B43.14B53.93B45.38B41.05B33.39B
Short-Term Investments085M630M00002.17B5.62B6.57B
Accounts Receivable21.12B21.24B23.91B28.58B17.91B23.44B32.32B27.44B41.64B38.17B
Days Sales Outstanding44.7242.7242.8854.7932.3731.3740.7236.4161.0225.72
Inventory25.37B29.36B29.65B27.8B29.74B41.11B42.2B40.72B41.79B41.01B
Days Inventory Outstanding115.64124.96107.33100.87111.36109.2792.0496.88106.5747.39
Other Current Assets12.53B12.57B9.94B3.28B95.92B18.89B11.85B9.45B53M0
Total Non-Current Assets310.99B357.98B388.22B296.57B255.58B287.29B299.31B238.26B229.4B220.23B
Property, Plant & Equipment289.51B332.82B357.58B241.46B210.92B233.94B237.16B175.94B169.88B160.53B
Fixed Asset Turnover0.60x0.55x0.57x0.79x0.96x1.17x1.22x1.56x1.47x2.93x
Goodwill000000002.35B0
Intangible Assets2.36B2.69B3.36B2.8B2.48B3.05B3.19B2.46B02.12B
Long-Term Investments12.8B12.23B11.13B15.11B12.79B15.13B16.97B17.28B16.75B62.67B
Other Non-Current Assets6.32B10.24B16.15B37.2B29.38B35.17B41.99B42.58B4.63B103.06B
Total Assets
398.94B▲ 0%
439.24B▲ 10.1%
466.24B▲ 6.1%
474.54B▲ 1.8%
360.74B▼ 24.0%
419.55B▲ 16.3%
433.84B▲ 3.4%
364.98B▼ 15.9%
359.56B▼ 1.5%
339.37B▲ 0%
Asset Turnover0.43x0.41x0.44x0.40x0.56x0.65x0.67x0.75x0.69x1.41x
Asset Growth %2.11%10.1%6.15%1.78%-23.98%16.3%3.41%-15.87%-1.49%-38.98%
Total Current Liabilities52.17B59.96B49.1B93.12B57.56B91.78B88.76B54.49B69.44B71.94B
Accounts Payable11.94B11.94B13.51B13.54B13.54B17.2B26.31B24.97B28.27B39.92B
Days Payables Outstanding54.4250.8248.9149.1150.6845.7157.3859.4272.0937.68
Short-Term Debt2.14B9.84B14.8B3.84B42.22B5.81B22.59B1.8B14.76B27.31B
Deferred Revenue (Current)0000000320M625M1.13B
Other Current Liabilities21.46B23.62B12.89B5.79B-11.83B57.22B29.8B16.38B3.82B3.58B
Current Ratio1.69x1.36x1.59x1.91x1.83x1.44x1.52x2.33x1.87x1.87x
Quick Ratio1.20x0.87x0.99x1.61x1.31x0.99x1.04x1.58x1.27x1.27x
Cash Conversion Cycle105.94116.86101.3106.5593.0594.9375.3873.8895.535.43
Total Non-Current Liabilities129.53B150.67B194.03B225.5B150.71B134.58B143.55B163.06B132.51B110.89B
Long-Term Debt78.02B72.56B134.79B163.34B147.51B97.14B96.77B115.91B88.55B83.01B
Capital Lease Obligations01.75B7.28B7.45B15.82B13.91B14.27B15.17B15.18B60.32B
Deferred Tax Liabilities000000003.48B6.63B
Other Non-Current Liabilities51.52B76.36B-17.31B-4.22B-31.78B39.66B12.62B31.97B25.07B100.11B
Total Liabilities181.71B210.63B243.13B318.62B208.27B226.35B232.31B217.55B201.94B182.83B
Total Debt84.15B111.49B138.64B205.56B116.85B119.36B138.69B135.16B120.67B125.17B
Net Debt56.51B94.36B122.76B170.82B85.62B76.22B84.76B89.77B79.62B91.78B
Debt / Equity0.39x0.49x0.62x1.32x0.77x0.62x0.69x0.92x0.77x0.77x
Debt / EBITDA1.71x2.54x3.08x6.57x2.42x1.76x2.02x2.20x2.30x1.13x
Net Debt / EBITDA1.15x2.15x2.72x5.46x1.78x1.12x1.24x1.46x1.52x1.52x
Interest Coverage-------4.69x4.12x4.33x
Total Equity
217.23B▲ 0%
228.61B▲ 5.2%
223.11B▼ 2.4%
155.92B▼ 30.1%
152.47B▼ 2.2%
193.2B▲ 26.7%
201.52B▲ 4.3%
147.43B▼ 26.8%
157.61B▲ 6.9%
156.54B▲ 0%
Equity Growth %2.27%5.24%-2.41%-30.12%-2.21%26.71%4.31%-26.84%6.91%-41.8%
Book Value per Share354.73371.18359.68252.33242.87304.30304.46232.90246.01241.07
Total Shareholders' Equity211.71B222.99B217.22B150.98B146.49B188.62B196.9B143B152.43B151.15B
Common Stock29.28B15.78B9.89B9.89B9.89B9.89B9.89B9.89B9.89B9.88B
Retained Earnings176.71B184.35B179.02B87.56B99.52B139.25B135.71B84.54B91.97B92.79B
Treasury Stock-2.64B-2.64B00000000
Accumulated OCI8.36B22.86B28.32B53.53B37.09B39.48B51.31B47.53B49.31B48.49B
Minority Interest5.52B5.62B5.88B4.94B5.98B4.57B4.62B4.42B5.18B5.39B

SSL Cash Flow Statement

Sasol Limited (SSL) cash flow — operating, investing & free cash flow history

Line itemJun'17Jun'18Jun'19Jun'20Jun'21Jun'22Jun'23Jun'24Jun'25TTM
Cash from Operations37.11B33.58B41.9B29.76B34.09B40.3B49.18B37.38B38.31B38.31B
Operating CF Margin %21.52%18.51%20.58%15.63%16.88%14.78%16.98%13.59%15.38%-
Operating CF Growth %-16.83%-9.5%24.76%-28.96%14.54%18.22%22.03%-23.98%2.47%-14.32%
Net Income20.37B8.73B3.39B-91.75B9.03B38.96B8.8B-44.27B18.82B-46.86B
Depreciation & Amortization16.2B16.74B17.85B22.28B17.65B14.07B17.39B15.64B14B28.5B
Stock-Based Compensation226M4.43B1.66B1.95B1.93B1.16B1.03B986M914M1.02B
Deferred Taxes0000000000
Other Non-Cash Items3.86B9.89B19.79B87.46B17.55B7.8B11.04B68.17B3.3B89.3B
Working Capital Changes-3.56B-6.2B-792M9.83B-12.07B-21.7B10.91B-3.15B1.28B3.82B
Change in Receivables-346M-2.79B37M6.43B-7.2B-9.41B9B-3.09B-1.11B933.6M
Change in Inventory-3.21B-3.41B-829M3.4B-4.87B-12.28B1.91B-54M-457M2.45B
Change in Payables000000002.85B442.12M
Cash from Investing-56.68B-53.98B-56.41B-38.55B25.09B-15.08B-28.23B-30.66B-25.89B-48.24B
Capital Expenditures-60.28B-53.35B-55.78B-35.15B-16.37B-23.14B-30.73B-30.07B-25.34B-48.07B
CapEx % of Revenue34.96%29.4%27.4%18.46%8.11%8.48%10.61%10.93%10.17%-
Acquisitions00000000309M379.16M
Investments----------
Other Investing3.6B-630M-631M-3.4B41.47B8.06B2.49B-583M-741M-382.88M
Cash from Financing-81M7.16B13.18B25.08B-58.31B-15B-12.57B-14.6B-16.61B-31.9B
Debt Issued (Net)30.89B6.91B15.76B23.88B6.09B-38.56B-14.97B-7.47B-16.61B-20.32B
Equity Issued (Net)0000000000
Dividends Paid-9.62B-7.95B-9.95B-31M-46M-49M-13.75B-7.63B0-1.32B
Share Repurchases0000000000
Other Financing-30.97B9.59B-2.58B1.23B19.05B-19.7B-36M508M0-10.27B
Net Change in Cash
-22.86B▲ 0%
-12.28B▲ 46.3%
-1.22B▲ 90.1%
18.27B▲ 1598.0%
-3.11B▼ 117.0%
11.98B▲ 485.7%
10.8B▼ 9.8%
-8.51B▼ 178.8%
-4.21B▲ 50.5%
35.97B▲ 0%
Free Cash Flow
-23.17B▲ 0%
-19.77B▲ 14.7%
-13.89B▲ 29.8%
-5.38B▲ 61.2%
17.72B▲ 429.1%
17.16B▼ 3.2%
18.45B▲ 7.5%
7.31B▼ 60.4%
12.89B▲ 76.4%
27.8B▲ 0%
FCF Margin %-13.44%-10.89%-6.82%-2.83%8.77%6.29%6.37%2.66%5.18%5.51%
FCF Growth %20.39%14.7%29.76%61.23%429.07%-3.16%7.54%-60.38%76.4%20.14%
FCF per Share-37.84-32.10-22.39-8.7128.2227.0227.8711.5520.1320.13
FCF Conversion (FCF/Net Income)1.82x3.85x12.36x-0.32x3.77x1.03x5.59x-0.84x5.66x-0.59x
Interest Paid00000008.64B08.89B
Taxes Paid0000000000

SSL Key Ratios

Sasol Limited (SSL) financial ratios — P/E, ROE, debt and 30+ core market and balance-sheet ratios

Metric201720182019202020212022202320242025TTM
Return on Equity (ROE)9.48%3.92%1.5%-48.42%5.86%22.54%4.46%-25.37%4.44%-29.93%
Return on Invested Capital (ROIC)9.57%6.97%6.42%2.97%6.81%14.88%14.71%13.79%12.16%12.16%
Gross Margin53.55%52.73%50.48%47.15%51.72%49.65%42.22%44.24%42.54%36.07%
Net Margin11.82%4.81%1.66%-48.2%4.47%14.28%3.04%-16.09%2.72%-9.29%
Debt / Equity0.39x0.49x0.62x1.32x0.77x0.62x0.69x0.92x0.77x0.77x
Interest Coverage-------4.69x4.12x4.33x
FCF Conversion1.82x3.85x12.36x-0.32x3.77x1.03x5.59x-0.84x5.66x-0.59x
Revenue Growth-0.31%5.25%12.19%-6.49%6.06%35.08%6.21%-5.03%-9.46%-12.54%

SSL Frequently Asked Questions

Sasol Limited (SSL) stock FAQ — growth, dividends, profitability & financials explained

Growth & Financials

Sasol Limited (SSL) reported $504.51B in revenue for fiscal year 2025. This represents a 3651% increase from $13.45B in 1996.

Sasol Limited (SSL) saw revenue decline by 9.5% over the past year.

Sasol Limited (SSL) reported a net loss of $46.86B for fiscal year 2025.

Dividend & Returns

Sasol Limited (SSL) has a return on equity (ROE) of 4.4%. This is below average, suggesting room for improvement.

Sasol Limited (SSL) generated $27.80B in free cash flow for fiscal year 2025. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

Explore More SSL

Sasol Limited (SSL) financial analysis — history, returns, DCA and operating performance tools

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