Backtest Comparison
Compare historical performance with solid lines showing the screening period and dotted lines showing performance after the selected year.
Charts will show 10-year trailing data up to the selected base year, plus performance from that year to today.
How it works:
Select a historical year as your "base year." Charts will show the 10-year period leading up to that year in regular styling, and the period from the base year to today with grey shading. This helps you see how companies performed after meeting your screening criteria.
Add Companies to Comparison
Search for companies to add to your comparison (up to 10 total). Press Enter or click a suggestion to add.
Selected Companies
Company Comparison
Net Income per $1K Invested
Net Income Analysis
Net Income Growth (10Y Avg)
Growth Pattern Analysis
Net Income Growth (Year-Over-Year)
Net Income Growth YoY Analysis
Return on Invested Capital (ROIC)
ROIC Analysis
Reinvestment Rate
Reinvestment Rate Analysis
Earnings Volatility
Earnings Volatility Analysis
Cumulative Net Income Growth
Cumulative Growth Analysis
Price-to-Earnings Ratio
P/E Ratio Analysis
P/E Growth (Year-Over-Year)
P/E Growth YoY Analysis
Operating Margin
Operating Margin Analysis
Operating Margin is calculated by dividing Operating Income by Revenue, showing how effectively a company converts sales into operational profit.
Higher margins indicate better cost control, pricing power, and operational efficiency. This metric reveals how well management runs core business operations.
Margin Improvement (10 Year)
Margin Improvement (10Y) Analysis
Margin Improvement (Year-Over-Year)
Margin Improvement YoY Analysis
Margin Improvement (5 Year)
Margin Improvement (5Y) Analysis
Revenue per $1K Invested
Revenue Efficiency
Revenue Growth (10Y Avg)
Revenue Growth Trends
Revenue Growth (Year-Over-Year)
Revenue Growth YoY Analysis
Cumulative Revenue Growth
Cumulative Revenue Growth Analysis
Debt (Net of Cash) per $1K Invested
Net Debt Analysis
Debt-to-EBITDA Ratio
Debt-to-EBITDA Analysis
Debt per $1K Invested
Debt Burden Analysis
Debt Growth (10Y Avg)
Debt Trajectory
Cash per $1K Invested
Cash Position
Shares Outstanding Growth (10Y Avg)
Shareholder Value
Share Count Over Time
Share Count Growth Analysis
Dividends per $1K Invested
Dividend Income Analysis
Payout Ratio History
Payout Ratio Analysis
Free Cash Flow per $1K
Free Cash Flow Analysis
FCF Change (Year-Over-Year)
FCF Change YoY Analysis
Cash Flow from Operations per $1K
Operating Cash Flow Analysis
CFFO Change (Year-Over-Year)
CFFO Change YoY Analysis
Cash Flow from Operations Growth (10Y Avg)
Cash Flow Growth Trajectory