Screener › Stocks with No or Minimal Debt

Stocks with No or Minimal Debt

💎 Value 67 stocks Updated: 22 May 2026 🌐 DE

Companies with a debt-to-equity ratio under 0.1 — fortress balance sheets that give management maximum flexibility and shareholders a margin of safety in downturns.

Results: 67
Total Mkt Cap: $2.4T
Avg Price: $137.35
Sorted by: Mkt Cap ↓
Ticker Company Price Debt/Equity ROE Net Margin Mkt Cap
JPM JPMorgan Chase $306.38 +1.12% 0 16.5% 33.9% $820.95B
ABBV AbbVie $215.72 +0.57% 0 0% 5.8% $381.13B
BAC Bank of America $51.79 +0.58% 0 10.6% 29% $367.53B
MCD McDonald's $282.25 -0.68% 0 0% 31.6% $200.54B
ALV.DE Allianz $385.60 -0.08% 0 18.7% 10.4% $146.25B
COF Capital One $187.80 +0.61% 0 3.3% 8.9% $116.87B
HLT Hilton $321.13 -0.46% 0 0% 30.4% $73.11B
TDG TransDigm $1,213.52 +0.35% 0 0% 21.9% $67.88B
EBS.VI Erste Group Bank $98.30 +0.15% 0 12.5% 30.4% $38.18B
VRSN VeriSign $310.00 +1.33% 0 0% 50% $28.21B
TLX.DE Talanx $107.30 -1.38% 0 20.1% 5.8% $27.71B
SCHN.SW Schindler Holding $250.00 +0% 0 23.5% 9.4% $27.1B
EMBRAC-B.ST Embracer Group $70.96 +0.82% 0 7.8% 5.7% $15.84B
RBI.VI Raiffeisen Bank International $46.34 +0.52% 0 6.1% 12.9% $15.22B
BAER.SW Julius Baer $63.38 -6.93% 0 10.9% 20.3% $12.99B
ALLY Ally Financial $42.35 -0.94% 0 9.4% 18.2% $12.98B
BG.VI BAWAG Group $151.70 +1.61% 0 19% 43.3% $11.68B
DPZ Domino's Pizza $316.52 +0.02% 0 0% 11.9% $10.53B
PRAX Praxis Precision Medicine $343.56 -2% 0.1 -35.3% 0% $9.58B
IMVT Immunovant $34.15 +0.06% 0.01 -64.8% 0% $7.01B
BGN.MI Banca Generali $55.20 +0.09% 0 28.2% 44.8% $6.29B
ETSY Etsy $62.38 +2.7% 0 0% 9.8% $5.92B
HUBN.SW Huber and Suhner $266.00 +4.52% 0 11.3% 8.6% $4.91B
GTLB GitLab $26.73 +4.33% 0 -6.3% -5.9% $4.51B
BMI Badger Meter $125.78 +4.95% 0 19.6% 14.6% $3.67B
VKTX Viking Therapeutics $30.89 +0.68% 0 -70% 0% $3.59B
HYMC Hycroft Mining $32.32 -2.91% 0.01 -86.1% 0% $2.95B
RAMP LiveRamp Holdings $37.70 -0.34% 0 15.1% 18% $2.27B
WIX Wix $53.19 -3.71% 0 0% -2% $2.23B
CMPS COMPASS Pathways $11.81 +1.9% 0 -565.3% 0% $1.59B
NVAX Novavax $9.21 +2.56% 0 0% -14.7% $1.51B
GSHD Goosehead Insurance $41.68 -1.91% 0 0% 8% $1.48B
MNKD MannKind Corporation $3.38 +2.11% 0 0% -6.6% $1.04B
MOZN.SW Mobilezone $14.86 -0.4% 0 -59.6% -2.9% $641.1M
WRN Western Copper and Gold $2.72 +0.37% 0.05 -2.1% 0% $613.7M
UROY Uranium Royalty Corp $3.37 -3.16% 0.04 1.3% 8% $494M
EOLS Evolent Health $6.09 -5.58% 0 0% -14.4% $401.1M
BYND Beyond Meat $0.77 -2.87% 0 0% 95% $394.7M
RMNI Rimini Street $3.63 +1.11% 0 0% 8.3% $336M
SEM.VI Semperit $15.00 +0% 0 4.7% 2.4% $308.6M
JACK Jack in the Box $11.55 +1.76% 0 0% 2.5% $220.3M
EMBC Embecta Corp $3.32 +0% 0 0% 10.7% $197M
CTM.ST Catena Media $2.50 -0.79% 0 -4.5% -10.9% $189.1M
DOMO Domo $3.63 +1.4% 0 0% -18.6% $163.9M
SPWR SunPower Corporation $1.12 +4.67% 0 0% -15.3% $163.9M
CURV Torrid Holdings $1.38 +1.85% 0 0% -0.7% $136.8M
FURY Fury Gold Mines $0.57 -2.54% 0 12.1% 0% $107.4M
STEM Stem Inc $9.42 +2.95% 0 0% 94.2% $84.4M
RRGB Red Robin Gourmet Burgers $4.56 -2.15% 0 0% -2.2% $84.4M
PRPL Purple Innovation $0.40 -2.73% 0 0% -13.7% $43.7M
TELA Tela Bio $0.89 -3.51% 0 -616.6% -49.3% $39.8M
LESL Leslies $3.45 +11.65% 0 0% -22.6% $32.3M
LPSN LivePerson $2.18 +0.46% 0 0% -26.2% $26.5M
MARI.VI Marinomed Biotech $9.60 -2.54% 0 0% 226.4% $19.2M
MAXN Maxeon Solar Technologies $0.76 +0% 0 0% 0% $12.9M
VTI Vanguard Total Stock Market $366.75 +0.45% 0 0% 0%
SPY SPDR S&P 500 ETF $745.70 +0.4% 0 0% 0%
GLD SPDR Gold Trust $413.87 -0.75% 0 0% 0%
VWO Vanguard FTSE Emerging Markets $58.98 +0.49% 0 0% 0%
IWM iShares Russell 2000 ETF $285.10 +0.92% 0 0% 0%
EEM iShares MSCI Emerging Markets $65.88 -0.23% 0 0% 0%
TLT iShares 20+ Year Treasury $84.68 +0.55% 0 0% 0%
QQQ Invesco NASDAQ 100 ETF $717.54 +0.42% 0 0% 0%
SCHD Schwab US Dividend ETF $32.82 +1.77% 0 0% 0%
IBIT iShares Bitcoin Trust $42.96 -2.36% 0 0% 0%
VOO Vanguard S&P 500 ETF $685.61 +0.41% 0 0% 0%
NRJ.PA NRJ Group $45.91 +1.62% 0 0% 0%

Analysis and Context

This screener currently shows 67 stocks meeting our value criteria — updated daily with live market data from 570+ tracked securities. The average P/E ratio of filtered stocks is 32.7x, compared to the historical S&P 500 median of 24.7x. The most represented sector is Financial Services with 12 companies. Value investing isn't simply about buying cheap stocks — it means identifying companies trading below intrinsic value before the market recognizes it. The average net profit margin of companies in this list is 15.4%. Low valuations can signal genuine mispricing, but may also reflect structural issues, cyclical weakness, or deserved discounts for deteriorating fundamentals. The average analyst price target upside for this list is 59.8%. Always combine these quantitative screens with qualitative analysis of competitive moats, management quality, and balance sheet strength before investing.

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