The highest return on assets
Return on assets
Ranked from the filings of the
companies this site has read, under
Quality.
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 | ROA |
| 1 |
Spectral Capital Corporation
FCCN |
408.96% |
| 2 |
Vistance Networks, Inc.
VISN |
207.94% |
| 3 |
RIGHTMOVE PLC
RMV.L |
169.34% |
| 4 |
Gubra A/S
GUBRA.CO |
130.63% |
| 5 |
Luotea Oyj
LASTIK.HE |
113.87% |
| 6 |
ZCCM INVESTMENTS HOLDINGS PLC
MLZAM.PA |
69.56% |
| 7 |
WESTERN DIGITAL CORPORATION
WDC |
67.99% |
| 8 |
Xunlei Ltd
XNET |
64.23% |
| 9 |
RIGEL PHARMACEUTICALS, INC.
RIGL |
61.78% |
| 10 |
NVIDIA CORP
NVDA |
61.51% |
| 11 |
ARBUTUS BIOPHARMA CORP
ABUS |
55.85% |
| 12 |
Saniona AB
SANION.ST |
55.55% |
| 13 |
AppLovin Corporation
APP |
53.33% |
| 14 |
AGENUS INC
AGEN |
53.24% |
| 15 |
PHILOGEN S.P.A.
PHIL.MI |
52.52% |
| 16 |
BEYOND MEAT, INC.
BYND |
51.64% |
| 17 |
GAMES WORKSHOP GROUP PLC
GAW.L |
51.20% |
| 18 |
Sandisk Corporation
SNDK |
50.80% |
| 19 |
VERISIGN INC/CA
VRSN |
47.15% |
| 20 |
AKER BIOMARINE ASA
AKBM.OL |
46.54% |
| 21 |
IRONWOOD PHARMACEUTICALS, INC.
IRWD |
45.55% |
| 22 |
UBIQUITI INC.
UI |
43.69% |
| 23 |
AUTOTRADER GROUP PLC
AUTO.L |
42.89% |
| 24 |
BEST SPAC I ACQUISITION CORP.
BSAA |
41.36% |
| 25 |
Elite Pharmaceuticals, Inc.
ELTP |
40.57% |
| 26 |
TRIMAS CORPORATION
TRS |
40.31% |
| 27 |
FAIR ISAAC CORP
FICO |
40.00% |
| 28 |
Aurinia Pharmaceuticals Inc.
AUPH |
39.65% |
| 29 |
Dave Inc./DE
DAVE |
39.01% |
| 30 |
Neptune Insurance Holdings Inc.
NP |
38.15% |
| 31 |
LANDS' END, INC.
LE |
38.03% |
| 32 |
Micron Technology, Inc.
MU |
37.63% |
| 33 |
SEZZLE INC.
SEZL |
35.36% |
| 34 |
AJ BELL PLC
AJB.L |
34.68% |
| 35 |
Exelixis Inc
EXEL |
34.50% |
| 36 |
Domino’s Pizza, Inc.
DPZ |
34.12% |
| 37 |
Apple Inc.
AAPL |
33.64% |
| 38 |
EverQuote, Inc.
EVER |
33.57% |
| 39 |
ALFA FINANCIAL SOFTWARE HOLDINGS PLC
ALFA.L |
33.19% |
| 40 |
IDEXX LABORATORIES INC /DE
IDXX |
33.11% |
| 41 |
ZEALAND PHARMA A/S
ZEAL.CO |
32.66% |
| 42 |
Seagate Technology Holdings plc
STX |
31.93% |
| 43 |
CarGurus, Inc.
CARG |
31.69% |
| 44 |
Lyft, Inc.
LYFT |
31.47% |
| 45 |
LAM RESEARCH CORPORATION
LRCX |
30.88% |
| 46 |
NATHAN'S FAMOUS, INC.
NATH |
30.75% |
| 47 |
VOTUM S.A.
VOT.WA |
30.14% |
| 48 |
Manhattan Associates, Inc.
MANH |
30.09% |
| 49 |
PLUS500 LTD
PLUS.L |
29.80% |
| 50 |
GDEV Inc.
GDEV |
29.74% |
How this measure is worked out
Net income ÷ total assets × 100
Profit earned on everything the company holds, cash included. Return on capital nets that cash out; this one does not, which is why a cash-rich company scores lower here than there.
return on everything the company holds, cash included, so a filer sitting on years of cash reads low. Return on capital nets that cash out; this one deliberately does not
More about ROA, 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