High Quality Stocks

A quality composite looks for solid businesses that produce consistent results, are very profitable, and generate high returns on their capital employed. Our quality composite combines return on equity, return on total capital, gross margin, net margin, and sales and earnings consistency.

Stocks With Highest Quality Factor Exposure

Ticker Price Market Cap
($mil)
ADBE $472.09 $225,659
AMGN $250.83 $144,115
ADP $189.44 $80,610
CSCO $51.60 $218,036
CLX $181.98 $22,633
LLY $193.20 $185,284
FICO $466.16 $13,415
IDXX $512.31 $43,690
JNJ $168.20 $442,937
ORCL $76.75 $221,311
TXN $176.60 $163,094
WDFC $239.65 $3,285
AZPN $142.41 $9,686
CHKP $117.72 $15,926
FDS $326.51 $12,359
EXPO $90.59 $4,722
NVO $78.04 $138,692
REGN $507.14 $54,022
SEIC $61.01 $8,713
WAT $303.64 $18,735
MTD $1,241.45 $28,888
WINA $185.66 $687
MMM $198.87 $115,280
BIIB $274.02 $41,255
ORLY $548.28 $38,249
SHLX $14.78 $5,813
MNST $89.79 $47,460
SPGI $369.69 $89,058
ZTS $168.04 $79,780
EVTC $42.35 $3,056
VEEV $247.02 $37,745
GIB $87.64 $19,410
UI $271.64 $17,063
HCA $204.11 $68,772
VRSK $172.00 $27,880
MRK $78.00 $197,500
GRMN $136.15 $26,160
V $220.63 $470,558
HEP $20.73 $2,186
BF.B $76.17 $35,576
FFIV $174.96 $10,430
MBT $8.61 $8,661
MANH $128.77 $8,192
FHI $32.36 $3,187
USNA $97.01 $1,963
ROK $260.54 $30,243
CTXS $116.80 $14,503
JKHY $155.11 $11,522
UNP $222.00 $147,475
CERN $76.31 $22,994
ROL $35.75 $17,593
MSFT $239.00 $1,800,046
ITW $231.79 $73,218
INTC $53.62 $216,518
INTU $399.89 $109,506
CL $82.05 $69,412
VZ $58.41 $241,821
AAPL $122.77 $2,048,741
KO $54.04 $233,003
CDNS $121.78 $33,887
HSY $167.60 $34,693
MXIM $89.93 $24,134
SNA $245.48 $13,276
XLNX $116.87 $28,723
BKE $41.05 $2,044
ANSS $320.56 $27,937
ATRI $596.61 $1,091
KSU $305.80 $27,808
KLAC $286.74 $43,952
CHD $87.40 $21,434
CPRT $118.10 $27,909
FAST $52.00 $29,866
RMD $192.32 $27,986
ODFL $256.38 $29,731
SAP $135.50 $167,955
TSM $108.21 $519,833
EW $87.47 $54,375
INFY $17.84 $76,782
TREX $99.11 $11,434
SWKS $161.53 $26,667
LMAT $47.95 $988
MORN $241.88 $10,388
FTNT $197.03 $32,178
QLYS $98.18 $3,843
PYPL $239.91 $281,829
ASML $601.88 $256,645
JAZZ $175.90 $10,008
BAH $80.69 $11,112
APPF $123.17 $4,250
BWXT $63.31 $6,023
CABO $1,713.34 $10,340
ALLE $135.39 $12,182
IAA $55.41 $7,467
BPMP $13.70 $1,436
EHC $87.12 $8,673
ACN $279.39 $185,826
AMT $241.96 $107,841
EVR $136.58 $6,350
LULU $305.21 $39,778
NEU $345.66 $3,777
AKAM $111.30 $18,141
WIT $7.29 $37,773
ISRG $811.79 $96,126
SLP $54.71 $1,100
GWW $454.20 $23,668
NUS $57.44 $2,874
COO $384.72 $18,909
CSX $99.64 $75,467
AAON $64.48 $3,381
SSD $108.26 $4,702
PEP $144.23 $199,273
HD $317.00 $340,846
MCO $319.73 $59,853
BIO $583.89 $17,622
AOS $68.49 $10,990
CNI $110.76 $78,694
NKE $133.39 $210,752
KMB $132.98 $44,872
HOLX $62.95 $16,130
LMT $380.62 $105,787
IEX $218.21 $16,569
CTAS $343.76 $36,113
GNTX $33.91 $8,191
GSK $38.34 $95,896
TTC $110.37 $11,878
UL $59.91 $157,673
WST $324.80 $23,978
DOX $72.68 $9,529
MMP $47.86 $10,686
NTAP $74.34 $16,548
POOL $419.76 $16,846
BCE $48.38 $43,780
GNRC $289.18 $18,205
ATHM $91.09 $23,259
FB $302.55 $857,870
LAMR $100.34 $10,145
TECH $408.88 $15,902
ENVA $34.22 $1,258
EPAM $441.16 $24,884
FBHS $103.72 $14,375
CHE $484.24 $7,724
SNY $51.77 $131,693
PETS $28.37 $575
UPS $210.70 $183,421
ENTG $101.61 $13,768
SID $9.32 $13,134
WSO $287.72 $11,154
VRTX $212.68 $55,056
SNPS $228.54 $34,823
AZN $54.50 $144,538
LANC $182.83 $5,036
FLIR $57.52 $7,589
MKC $88.94 $23,742
IBM $141.30 $126,255
APH $64.17 $38,349
WSM $168.09 $12,654
PG $135.54 $331,834
TMO $454.78 $178,741
K $66.42 $22,616
GIS $62.96 $38,404
EL $290.07 $105,154
VIVO $18.01 $780
EMR $93.35 $55,982
FIZZ $45.12 $4,210
HVT $42.06 $769
NSC $281.70 $70,493
SHW $279.84 $74,423
EBAY $58.28 $39,704
DSGX $57.36 $4,863
NVS $87.57 $218,533
JCOM $121.09 $5,463
IRWD $11.16 $1,808
SAIA $228.27 $6,011
SCCO $78.70 $60,841
DORM $99.59 $3,195
SSTK $81.10 $2,965
MTCH $141.62 $38,276
FND $101.52 $10,651
PRDO $11.84 $834
GMED $70.42 $7,067
PAYC $305.49 $18,385
YUMC $60.23 $25,333
LW $76.75 $11,227
DXCM $333.48 $32,249
MASI $214.93 $11,821
G $43.54 $8,156
SWK $209.89 $33,896
DG $205.87 $49,257
CRL $316.76 $15,918
MED $274.25 $3,225
MO $49.35 $91,329
WERN $47.07 $3,197
SMP $45.57 $1,011
TSCO $182.41 $21,024
QCOM $124.62 $140,571
NDSN $200.03 $11,619
DCI $61.15 $7,712
ABT $116.35 $206,733
MAS $62.12 $15,765
OMC $82.14 $17,667
SYK $244.76 $92,213
ABMD $272.25 $12,314
APD $293.16 $64,880
ADSK $269.54 $59,316
BMI $89.92 $2,623
AJG $143.86 $28,180
CCF $111.25 $1,051
EA $139.67 $40,173
HON $220.04 $152,830
MSM $92.50 $5,175
BIG $63.60 $2,232
CRVL $115.38 $2,063
PRGS $42.26 $1,860
NOC $363.15 $58,453
RPM $94.61 $12,253
CTSH $70.73 $37,304
HALO $42.48 $6,049
MPWR $306.10 $14,005
AAP $201.79 $13,203
BRKR $66.45 $10,069
TKC $4.45 $4,038
SBH $22.45 $2,536
MGPI $61.98 $1,361
AMCX $46.08 $1,945
OLLI $79.61 $5,217
ALRM $81.66 $4,063
SFM $25.72 $3,038
PINC $33.85 $4,139
QIWI $10.40 $648
ECOM $22.64 $673
CDW $163.48 $22,920
ABBV $114.96 $203,045
WLKP $26.66 $938
OGS $75.67 $4,029
TVTY $23.38 $1,152
HII $212.14 $8,535
SPSC $92.83 $3,329
ERII $16.76 $964
ATVI $92.66 $71,998
IRBT $93.61 $2,630
EXLS $97.06 $3,247
ILMN $372.84 $54,435
NVDA $550.34 $342,523
NFLX $484.98 $215,042
ABG $197.66 $3,823
DLB $92.17 $9,342
DGX $136.01 $17,768
CGNX $73.32 $12,949
HELE $215.34 $5,265
HRL $46.88 $25,322
LH $271.91 $26,566
LRCX $557.67 $79,535
CACI $253.99 $5,982
BBY $116.15 $29,084
BCPC $128.27 $4,161
ATR $151.61 $9,963
AVY $214.95 $17,843
RHI $87.45 $9,863
SCI $53.85 $9,054
Performance Disclaimer: Returns presented on Validea.com are model returns and do not represent actual trading. As a result, they do not incorporate any commissions or other trading costs or fees. Model portfolios with inception dates on or after 12/30/2005 include a combination of back tested and live model returns. The back-tested performance results shown are hypothetical and are not the result of real-time management of actual accounts. The back-testing of performance differs from actual account performance because the investment strategy may be adjusted at any time, for any reason and can continue to be changed until desired or better performance results are achieved. Back-tested returns are presented to provide general information regarding how the underlying strategy behind the portfolio performed in our historical testing. A back-tested strategy has the benefit of hindsight and the results do not reflect the impact that material economic or market factors may have had on advisor's decision-making if actual client assets were being managed using this approach. The model portfolios offered on Validea are concentrated and as a result they will exhibit high levels of volatility and their performance can be substantially impacted by the performance of individual positions.

Optimal portfolios presented on Validea.com represent the rebalancing period that has led to the best historical performance for each of our equity models. Each optimal portfolio was determined after the fact with performance information that was not available at portfolio inception. As a result, an investor could not have invested in the optimal portfolio since its inception. Optimal portfolios are presented to allow investors to quickly determine the portfolio size and rebalancing period that has performed best for each of our models in our historical testing.

Both the model portfolio and benchmark returns presented for all equity portfolios on Validea.com are not inclusive of dividends. Returns for our ETF portfolios and trend following system, and the benchmarks they are compared to, are inclusive of dividends. The S&P 500 is presented as a benchmark because it is the most widely followed benchmark of the overall US market and is most often used by investors for return comparison purposes. As with any investment strategy, there is potential for profit as well as the possibility of loss and investors may incur a loss despite a past history of gains. Past performance does not guarantee future results. Results will vary with economic and market conditions.