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Public Dashboard: Bright, Charles

08/29/2025
Company Symbol Shares Price Value % of Total Growth Proj P/E Proj Yield Fin Str EPS Stab Qlty PAR
Averages $1,066,518.41 7.5% 19.7 1.4% 68% 72 73.0 9.0%
Axcelis Technologies ACLS 735.29 $82.01 $60,301.47 5.7% 3.9% 17.8 0.0% 37% 47 34 9.0%
ACM Research* ACMR 2433.09 $29.29 $71,265.21 6.7% 22.1% 12.2 0.0% 72% 74 81 16.3%
Addus Homecare* ADUS 399.49 $115.32 $46,069.03 4.3% 15.7% 22.9 0.0% 64% 59 82 13.7%
Allegion ALLE 376.70 $170.97 $64,405.18 6.0% 6.1% 19.6 1.4% 66% 92 88 7.1%
Apogee Enterprises APOG 980.01 $44.09 $43,208.55 4.1% 3.1% 10.5 1.4% 64% 82 60 12.1%
Brink's Co., The BCO 535.73 $112.07 $60,039.64 5.6% 5.3% 16.1 0.9% 23% 87 55 9.8%
BHP Billiton BHP 1017.29 $56.12 $57,090.54 5.4% 1.9% 13.5 6.4% 38% 68 46 12.2%
Builders FirstSource BLDR 298.90 $140.14 $41,887.85 3.9% 4.7% 6.3 0.0% 54% 33 35 14.8%
Canadian National Rail CNI 478.42 $96.10 $45,976.46 4.3% 4.0% 17.2 2.2% 62% 97 87 10.1%
Disney (Walt) DIS 442.24 $117.64 $52,025.47 4.9% 5.9% 17.0 1.8% 47% 32 49 6.1%
Essent Group* ESNT 858.37 $62.91 $54,000.00 5.1% 11.7% 8.1 2.0% 78% 66 85 13.6%
Hartford Financial HIG 448.23 $132.22 $59,264.90 5.6% 10.6% 14.0 1.8% 87% 58 92 7.5%
Healthstream* HSTM 1531.39 $28.08 $43,001.53 4.0% 3.6% 78.0 0.0% 83% 47 32 4.8%
Jacobs Engineering J 356.81 $146.91 $52,419.18 4.9% 0.4% 21.1 1.0% 82% 93 74 -2.8%
Johnson & Johnson JNJ 328.62 $175.45 $57,656.92 5.4% 4.5% 17.0 2.8% 97% 90 96 7.8%
NIKE NKE 650.20 $77.92 $50,663.20 4.8% 2.5% 23.6 2.1% 77% 68 63 4.2%
ResMed RMD 211.70 $275.38 $58,298.76 5.5% 10.2% 22.8 0.8% 83% 85 97 5.9%
Schlumberger SLB 1241.31 $36.48 $45,283.02 4.2% 8.5% 10.8 1.7% 65% 68 97 16.8%
Veeva Systems VEEV 214.35 $272.33 $58,374.77 5.5% 12.1% 29.5 0.0% 99% 83 99 4.1%
Zoetis ZTS 292.57 $154.79 $45,286.72 4.2% 6.1% 25.8 1.0% 76% 99 94 8.5%


MIPAR 8.2%  
Sweet Spot 13.2% - 18.2%  
Portfolio Averages
PAR 9.0%
Quality 73.0
Growth 7.5%
P/E Ratio 19.7
Yield 1.4%
Fin Strength 68%
EPS Stability 72

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Legend
Quality Legend:
Blue Excellent with quality greater than 80.
Green Good with quality between 60 and 80.
Neutral Average or below average with quality between 20 and 60.
Red Poor with quality less than 20.
Companies with less than 10 years of history are penalized by 5 points per year.
PAR Legend:
Green PAR is within the target range of MIPAR +5-10%, currently 5.1%-10.1%
Yellow PAR is above the target range of MIPAR +10%, currently 10.1%
PAR Projected Annual Return
MIPAR The Manifest Investing Median PAR of all stocks in the database.
Company Name Legend:
* Not covered by Value Line Standard Edition.
b Uses price-to-book value for valuation purposes.
P/CF Uses price-to-cash flow for valuation.