ShareRanker.com

An ASX implementation of Joel Greenblatt's Magic Formula

# Symbol Name Sector Market Cap ROC Earnings Yield
181 SPK SPARK NEW ZEALAND LIMITED Telecommunication Services $4,005,363,714 7.89 5.85
182 CSL CSL LIMITED Pharmaceuticals, Biotechnology & Life Sciences $103,080,116,683 10.93 4.49
183 S66 STAR COMBO PHARMA LIMITED Household & Personal Products $28,367,409 2.06 18.52
184 LAU LINDSAY AUSTRALIA LIMITED Transportation $229,677,188 4.88 8.73
185 RWC RELIANCE WORLDWIDE CORPORATION LIMITED Capital Goods $3,188,361,117 7.69 5.94
186 ACL AUSTRALIAN CLINICAL LABS LIMITED Health Care Equipment & Services $536,468,397 7.32 6.22
187 FOS FOS CAPITAL LTD Capital Goods $17,483,987 6.86 6.62
188 ASX ASX LIMITED Financial Services $11,022,606,380 10.67 4.57
189 APZ ASPEN GROUP Equity Real Estate Investment Trusts (REITs) $1,229,393,338 9.50 5.13
190 HVN HARVEY NORMAN HOLDINGS LIMITED Consumer Discretionary Distribution & Retail $9,046,008,308 7.84 5.72
191 GLF GEMLIFE COMMUNITIES GROUP Real Estate Management & Development $1,920,456,733 18.84 2.90
192 AWJ AURIC MINING LIMITED Materials $54,923,425 9.78 5.01
193 NST NORTHERN STAR RESOURCES LTD Materials $33,908,426,894 10.33 4.71
194 BPP BABYLON PUMP & POWER LIMITED Capital Goods $19,034,454 7.37 6.00
195 WLD WELLARD LIMITED Food, Beverage & Tobacco $18,062,510 3.20 11.36
196 ORA ORORA LIMITED Materials $2,583,062,445 25.42 2.42
197 SNL SUPPLY NETWORK LIMITED Consumer Discretionary Distribution & Retail $1,615,829,495 22.85 2.51
198 BGP BRISCOE GROUP AUSTRALASIA LIMITED Consumer Discretionary Distribution & Retail $1,238,712,466 11.27 4.17
199 FSA FSA GROUP LIMITED Financial Services $143,802,426 5.68 7.53
200 DSK DUSK GROUP LIMITED Consumer Discretionary Distribution & Retail $57,909,114 5.59 7.63
201 JHX JAMES HARDIE INDUSTRIES PLC Materials $19,767,585,517 13.41 3.49
202 CUF CUFE LTD Materials $71,610,063 74.53 1.24
203 BLX BEACON LIGHTING GROUP LIMITED Consumer Discretionary Distribution & Retail $676,559,330 10.21 4.38
204 STO SANTOS LIMITED Energy $20,688,313,761 5.20 7.65
205 DGH DESANE GROUP HOLDINGS LIMITED Real Estate Management & Development $39,273,590 4.60 8.45
206 OCL OBJECTIVE CORPORATION LIMITED Software & Services $1,913,424,920 29.11 1.83
207 SSM SERVICE STREAM LIMITED Capital Goods $1,403,780,280 10.44 4.16
208 BRG BREVILLE GROUP LIMITED Consumer Durables & Apparel $4,192,958,196 13.68 3.21
209 SWM SEVEN WEST MEDIA LIMITED Media & Entertainment $207,783,967 4.63 8.15
210 ADH ADAIRS LIMITED Consumer Discretionary Distribution & Retail $370,634,451 5.72 6.89