Quality Financials Stocks — Analysis & Financial Data
Quality financials stocks combine the quality-screening discipline with exposure to the financials sector. Invest Viable tracks 170 quality financials stocks with proprietary Investment Scores and base valuations to help you evaluate which names look fairly priced and which may offer a margin of safety.
Explore 170 Stocks →- Stocks
- 170
- Avg. Score / 100
- 83
- Sector
- Financials
- Updated
- 2026-06-28
Quality Financials Stock List
| Company | Price | Fair Value | Score | Market Cap | P/E | EPS | Yield |
|---|---|---|---|---|---|---|---|
Chubb Limited CB | $340.74 | $632.89 | 81 | $132.4B | 12.0 | $28.63 | 1.15% |
The Progressive Corporation PGR | $218.45 | $249.54 | 94 | $131.1B | 11.4 | $19.74 | 6.20% |
Aon plc AON | $331.69 | $400.08 | 77 | $70.2B | 17.9 | $18.39 | 0.93% |
The Travelers Companies, Inc. TRV | $330.12 | $557.47 | 90 | $69.6B | 9.6 | $35.33 | 1.39% |
Manulife Financial Corporation MFC | $40.51 | $30.26 | 77 | $67.2B | 16.3 | $3.83 | 3.23% |
Nu Holdings Ltd. NU | $13.36 | $11.39 | 81 | $63.8B | 20.3 | $0.66 | 0.00% |
The Allstate Corporation ALL | $237.94 | $442.31 | 94 | $61.7B | 5.2 | $46.82 | 1.74% |
Nasdaq, Inc. NDAQ | $78.82 | $68.14 | 77 | $44.4B | 23.4 | $3.38 | 1.43% |
PayPal Holdings, Inc. PYPL | $43.18 | $106.98 | 94 | $39.1B | 8.3 | $5.54 | 0.95% |
The Hartford Insurance Group, Inc. HIG | $132.52 | $234.37 | 90 | $36.7B | 9.3 | $14.60 | 1.73% |
Arch Capital Group Ltd. ACGL | $97.06 | $279.67 | 94 | $34.1B | 7.4 | $13.54 | 0.00% |
Credicorp Ltd. BAP | $389.58 | $1858.53 | 77 | $30.5B | 14.5 | $90.65 | 3.81% |
Cincinnati Financial Corporation CINF | $185.14 | $373.71 | 97 | $28.5B | 10.5 | $17.81 | 1.97% |
W. R. Berkley Corporation WRB | $70.53 | $108.51 | 84 | $26.5B | 15.0 | $4.79 | 2.62% |
Synchrony Financial SYF | $76.05 | $235.07 | 81 | $26.5B | 8.1 | $10.51 | 1.53% |
Regions Financial Corporation RF | $30.20 | $58.63 | 77 | $25.7B | 12.4 | $2.58 | 3.53% |
Willis Towers Watson Public Limited Company WTW | $261.37 | $154.84 | 77 | $25.1B | 15.4 | $17.51 | 1.40% |
T. Rowe Price Group, Inc. TROW | $113.69 | $118.97 | 77 | $23.6B | 11.8 | $9.38 | 4.66% |
Loews Corporation L | $113.21 | $172.29 | 81 | $23.3B | 14.4 | $9.06 | 0.22% |
Tradeweb Markets Inc. TW | $99.66 | $68.74 | 81 | $19.9B | 23.0 | $4.09 | 0.56% |
East West Bancorp, Inc. EWBC | $129.09 | $245.22 | 81 | $17.7B | 12.8 | $10.09 | 2.16% |
Reinsurance Group of America, Incorporated RGA | $212.65 | $402.48 | 77 | $14.1B | 11.5 | $18.55 | 1.73% |
Everest Group, Ltd. EG | $357.23 | $1068.37 | 84 | $14.1B | 7.2 | $50.49 | 2.25% |
Globe Life Inc. GL | $178.68 | $249.53 | 77 | $13.9B | 12.2 | $15.01 | 0.64% |
RenaissanceRe Holdings Ltd. RNR | $316.90 | $1754.23 | 90 | $13.6B | 5.3 | $66.12 | 0.51% |
About Quality Financials Stocks
Quality Financials stocks combine the quality-screening discipline with exposure to the financials sector. This screener narrows the broader Financials universe down to 170 names that meet our Quality criteria: Investment Score ≥ 75. The average Investment Score across the 170 qualifying stocks is 83/100, ranked here by market capitalization.
How this screen works
Every stock on this list is classified as a Financialscompany per GICS sector taxonomy — the industry-standard classification used by S&P, MSCI, FactSet, and the major index providers — and ingested into Invest Viable's data pipeline daily. Each company is then evaluated against our 28-check Investment Score framework. The 28 checks span four dimensions of company quality: profitability (margin trend, return on invested capital), balance sheet strength (debt coverage, liquidity, working-capital health), growth durability (revenue, earnings, and free cash flow trajectory), and valuation (price relative to earnings, book value, free cash flow, and peer multiples). Each check returns a binary pass/fail against an objective threshold; the Investment Score reports the percentage of checks a stock currently passes, expressed as 0–100.
The Quality filter applied on this page is a categorical boundary layered on top of that scoring. Companies that do not meet Investment Score ≥ 75appear on other screens but not this one. The threshold is fixed and disclosed — a stock either clears the Quality bar or it does not, and the rule above tells you exactly what the bar is. There is no discretion in the filter logic and no human override.
Because the same 28-check framework runs across every screener page on Invest Viable, the Investment Scores on this page are directly comparable to those on the broader Financials screener, on any of the four investment style screeners, or on any other sector × style intersection in our catalog. A score of 72 here means the same thing it means anywhere on the site: 20 of 28 objective checks passed. The score is descriptive — it reports what a company's financials currently look like — not predictive or prescriptive about future performance, and not a recommendation to buy or sell.
Frequently asked questions
What are Quality Financials stocks?
Quality Financials stocks are financials-sector companies that meet our Quality screening criteria. Quality screening looks for Investment Score ≥ 75, narrowing the broader Financials sector universe down to the 170 names on this list.
How is this different from the broader Financials screener?
The Financials sector screener covers every financials stock in the Invest Viable universe regardless of investment style. This Quality Financials screener applies an additional filter — Investment Score ≥ 75 — leaving the 170 stocks that meet both criteria.
What is the typical Investment Score range for Quality Financials stocks?
The average Investment Score across the 170 stocks on this list is 83/100. Investment Scores come from our 28-check framework covering profitability, balance-sheet quality, growth, and valuation. Higher scores indicate stocks that pass more checks on objective criteria; the score is not a buy or sell signal.
Why are some Financials stocks excluded from the Quality filter?
Quality screening uses fixed numerical thresholds (Investment Score ≥ 75). Companies that do not meet those thresholds appear on other screens — for instance, a financials company with strong dividend yield but lower revenue growth would appear on the Dividend Financials screener, not this one.
Are these screens investment recommendations?
No. Invest Viable provides methodology and data; investment decisions are the user's responsibility. The screens surface stocks matching specific criteria — they do not endorse any stock for purchase or sale.
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Disclaimer: The information provided on this page is for informational and educational purposes only and does not constitute investment advice, financial advice, or any recommendation to buy, sell, or hold any security. Investment Scores, base valuations, and fair value estimates are generated using proprietary models and should not be the sole basis for any investment decision. All investments involve risk, including the potential loss of principal. Past performance does not guarantee future results. Always conduct your own research and consult with a qualified financial advisor before making investment decisions. Invest Viable AB is not a registered investment advisor.