The highest operating profit growth, trailing twelve months against the prior twelve
Operating profit growth, trailing twelve months against the prior twelve
Ranked from the filings of the
companies this site has read, under
Growth.
50 of them report a figure for this; the rest are absent rather than
ranked last, because a filing that does not carry a number is not a company that scores
badly on it.
| # | Company | EBIT Y/Y |
| 1 |
Neste Oyj
NESTE.HE |
1,912.00% |
| 2 |
Nokian Renkaat Oyj
TYRES.HE |
1,888.89% |
| 3 |
HAWAIIAN ELECTRIC INDUSTRIES, INC.
HE |
1,773.52% |
| 4 |
BORGESTAD ASA
BOR.OL |
1,762.81% |
| 5 |
Eniro Group AB
ENRO.ST |
1,700.00% |
| 6 |
PJP MAKRUM S.A.
PJP.WA |
1,418.00% |
| 7 |
Millrose Properties, Inc.
MRP |
1,404.56% |
| 8 |
BROADWIND, INC.
BWEN |
1,394.72% |
| 9 |
COMMERCIAL METALS COMPANY
CMC |
1,303.91% |
| 10 |
Okta, Inc.
OKTA |
1,283.33% |
| 11 |
ACG METALS LIMITED
ACG.L |
1,216.89% |
| 12 |
NAYAX LTD.
NYAX |
1,109.66% |
| 13 |
CREDO TECHNOLOGY GROUP HOLDING LTD
CRDO |
1,098.70% |
| 14 |
VALERO ENERGY CORP/TX
VLO |
951.58% |
| 15 |
AGCO CORP /DE
AGCO |
916.33% |
| 16 |
Stora Enso Oyj
STERV.HE |
912.90% |
| 17 |
National Vision Holdings, Inc.
EYE |
910.30% |
| 18 |
ANI PHARMACEUTICALS, INC
ANIP |
889.89% |
| 19 |
AMC ENTERTAINMENT HOLDINGS, INC.
AMC |
884.05% |
| 20 |
BABCOCK & WILCOX ENTERPRISES, INC
BW |
879.44% |
| 21 |
BABCOCK & WILCOX ENTERPRISES, INC
BWNB |
879.44% |
| 22 |
CENTERSPACE
CSR |
877.62% |
| 23 |
INCYTE CORPORATION
INCY |
822.38% |
| 24 |
Warrior Met Coal, Inc.
HCC |
808.10% |
| 25 |
COHERENT CORP.
COHR |
800.11% |
| 26 |
Bausch & Lomb Corp
BLCO |
797.22% |
| 27 |
ERICSSON LM TELEPHONE CO
ERIC |
795.76% |
| 28 |
TRUPANION, INC.
TRUP |
722.76% |
| 29 |
AKER SOLUTIONS ASA
AKSO.OL |
702.84% |
| 30 |
TPG Inc.
TPG |
679.72% |
| 31 |
TPG Inc.
TPGXL |
679.72% |
| 32 |
Micron Technology, Inc.
MU |
675.63% |
| 33 |
VERACYTE, INC.
VCYT |
664.88% |
| 34 |
Cohen & Co Inc.
COHN |
643.99% |
| 35 |
ZOTEFOAMS PLC
ZTF.L |
632.55% |
| 36 |
Remitly Global, Inc.
RELY |
627.56% |
| 37 |
PHILOGEN S.P.A.
PHIL.MI |
582.14% |
| 38 |
Vistance Networks, Inc.
VISN |
578.52% |
| 39 |
VICOR CORPORATION
VICR |
574.54% |
| 40 |
TOYO Co., Ltd
TOYO |
566.33% |
| 41 |
GENUS PLC
GNS.L |
562.50% |
| 42 |
Rainbow Tours S.A.
RBW.WA |
554.97% |
| 43 |
ASIA PACIFIC WIRE & CABLE CORPORATION LIMITED
APWC |
546.51% |
| 44 |
Astera Labs, Inc.
ALAB |
546.34% |
| 45 |
BKV Corp
BKV |
539.37% |
| 46 |
EQVA ASA
EQVA.OL |
510.04% |
| 47 |
MediaAlpha, Inc.
MAX |
505.58% |
| 48 |
MOONPIG GROUP PLC
MOON.L |
498.83% |
| 49 |
Reddit, Inc.
RDDT |
497.68% |
| 50 |
NIQ Global Intelligence plc
NIQ |
480.95% |
How this measure is worked out
Operating income, trailing twelve months against the prior twelve
Growth in the profit line rather than the top line, so widening margins count as well as extra volume. Off a small or negative base it swings hard.
the profit line rather than the top line, so it registers margin expansion as well as volume. Swings hard off a small or negative base, which is why the revenue measures carry more weight
More about EBIT Y/Y, and the XBRL tags behind
it
What this ranking is not
It is not advice, and a high place is not a recommendation. A company can lead on one
measure and fail on every other; that is the reason this site scores five dimensions
rather than one and lets you weigh them yourself.
It also ranks only what has been read. A company whose filings are not in this database
cannot appear here however well it would have done, and a company whose filing does not
tag this figure is absent rather than last.
Worked out on 2026-09-27.
Every other measure ranked ·
All 64 measures explained