Financial data

Company Screener

SEC-derived financials for the Belvedere universe: source, update cadence after ingest, coverage counts, and screens. This is not a live market-data terminal.

What data does Belvedere show on the screener?

SEC-derived revenue, year-over-year revenue growth, margins, Belvedere free cash flow, cash, and identified debt for companies in the current universe extract. Licensed market prices are not shown.

Is this a live market-data terminal?

No. Figures update when the SEC extract is rebuilt. They are not streaming quotes.

Issuers in extract163

Data date 2026-09-21

With YoY revenue157

114 growing vs year-ago quarter

Positive Belvedere FCF17

of 22 with OCF and capex

Small-cap revenue proxy80

$5m–$250m quarterly revenue

Data date Sep 21, 2026. 163 operating companies in the current extract. Filters run in the browser against that snapshot. Blank cells mean the fact was not identified—not that the value is zero.

Financial information is derived from public filings and other identified sources. Belvedere calculations may differ from company-defined non-GAAP measures. See methodology and source notes.

Showing 163 of 163 issuers.

CompanyRevenueYoYGross marginOp. marginFCFCashDebt
Accel Entertainment, Inc.ACEL$0.00$255.5M$573.3M
Acushnet Holdings Corp.GOLF$820M+13.8%+54.4%+21.5%$959.4M
AEHR TEST SYSTEMSAEHR$10.3M-43.7%+32.7%-41.0%$116.4M
AGILYSYS INCAGYS$87.7M+14.3%+63.5%+11.1%$7.3M$123.7M
Alarm.com Holdings, Inc.ALRM$277.7M+9.2%+65.6%+11.7%$479.4M
ALICO, INC.ALCO$9M+7.7%+44.8%+20.9%$55.6M$82.9M
ALPHA & OMEGA SEMICONDUCTOR LtdAOSL$163.8M-0.5%+21.1%-8.6%$180.8M$3.6M
AMBARELLA INCAMBA$108.1M+13.2%+57.7%-7.5%$101.9M
Amphastar Pharmaceuticals, Inc.AMPH$183.9M+5.4%+50.8%+21.6%$223.6M
ANGIODYNAMICS INCANGO$78.4M+8.9%+52.9%-16.5%$53.9M
APARTMENT INVESTMENT & MANAGEMENT COAIV$6.2M+32.9%$216M
APPFOLIO INCAPPF$281.1M+19.3%+18.8%$217.4M
Apple Hospitality REIT, Inc.APLE$402.6M+4.7%+43.5%+21.9%$10.2M$1.5B
Atlanta Braves Holdings, Inc.BATRA$305.1M-2.3%-6.1%$116.3M$793.1M
AtriCure, Inc.ATRC$153.6M+12.8%+77.2%+6.3%$167.8M$61M
AXCELIS TECHNOLOGIES INCACLS$215.2M+10.6%+42.4%+9.4%$155M
Bandwidth Inc.BAND$208.8M+19.8%+37.3%-2.2%$47.3M$148.7M
BANNER CORPBANR$11.4M+9.5%+136.1%$435.5M
BASSETT FURNITURE INDUSTRIES INCBSET$83.8M-0.7%+56.5%+2.7%$35.9M
BEL FUSE INC /NJBELFB$210.7M+25.2%+39.9%+18.2%$306.1M$0.00
BENCHMARK ELECTRONICS INCBHE$777.5M+16.8%+10.1%+3.9%$314.8M$181M
BJs RESTAURANTS INCBJRI$388.9M+6.4%+74.5%+4.7%$14.4M$44M
BLACKBAUD INCBLKB$290.6M+3.0%+61.3%+21.3%$34.4M$1.2B
BLACKLINE, INC.BL$187.8M+9.2%+76.0%+5.9%$242.9M
Boot Barn Holdings, Inc.BOOT$593.5M+17.7%+40.4%+15.3%$32.8M$139.3M
BRANDYWINE REALTY TRUSTBDN$127M+4.5%+59.0%+1.2%$36.2M$2.6B
CALERES INCCAL$677.8M+7.2%+41.3%+2.5%$31.5M$50.9M
CALIX, INCCALX$293.3M+21.3%+54.6%+7.4%$68.9M
CENTERSPACECSR$1.2M-11.9%-84.4%+522.2%$8.6M$989.6M
CENTURY ALUMINUM COCENX$752.1M+19.7%+30.3%+28.1%$343.4M
CENTURY CASINOS INC /CO/CNTY$152M+0.8%+11.3%$60.2M$329.1M
Century Communities, Inc.CCS$927.2M-7.3%$92.3M
CERUS CORPCERS$57.4M+9.5%-3.2%$18M
CEVA INCCEVA$29M+13.1%+87.4%-7.2%$44.3M
Chatham Lodging TrustCLDT$87.2M+0.5%+44.7%+14.3%$11.3M$414.3M
CHOICE HOTELS INTERNATIONAL INC /DECHH$428M+0.6%+35.5%$42.8M$2B
Cinemark Holdings, Inc.CNK$643.1M+18.9%$631.9M$2.5B
CIRRUS LOGIC, INC.CRUS$459.7M+12.9%+52.6%+18.4%$49M$810.7M
COHU INCCOHU$84.1M+18.9%+40.9%$219.6M$296.2M
CRACKER BARREL OLD COUNTRY STORE, INCCBRL$797.4M-2.9%+69.8%+0.8%$26.1M$486.6M
CTS CORPCTS$139.2M+10.7%+39.5%+15.8%$12.3M$90.9M
DAKTRONICS INC /SD/DAKT$234.6M+7.1%+30.5%+10.6%$27.3M$154.6M$10.5M
Dave & Buster's Entertainment, Inc.PLAY$544.1M-2.4%+84.7%+3.6%$16M$1.5B
Designer Brands Inc.DBI$730.6M-1.2%+50.0%+7.5%$51.6M$423.1M
DiamondRock Hospitality CoDRH$318.3M+4.1%$106M$1.1B
DIGI INTERNATIONAL INCDGII$138.7M+29.0%+64.8%+16.5%$28M$108.1M
Dine Brands Global, Inc.DIN$151.9M-0.7%+51.7%$97.5M$1.2B
DIODES INC /DEL/DIOD$445.5M+21.7%+33.1%+7.5%$430.4M$23.5M
Dorman Products, Inc.DORM$544.6M+0.7%+46.1%+21.3%$132M$440.5M
Easterly Government Properties, Inc.DEA$33.9M+80.2%+19.5%$3.3M$1.7B
Elastic N.V.ESTC$478.1M+15.1%+74.5%-4.9%$131.4M$879.9M$571.2M
Empire State Realty Trust, Inc.ESRT$196.6M+3.0%-70.5%$85.6M
ENCORE CAPITAL GROUP INCECPG$18.2M-18.3%+1025.4%$182.9M
ENTEGRIS INCENTG$883.2M+11.5%+47.6%+18.6%$353.6M$3.5B
EPLUS INCPLUS$330.4M-0.7%+24.7%+5.6%$448.9M
EXTREME NETWORKS INCEXTR$316.9M+11.4%+61.7%+5.5%$211.8M$163.7M
F5, INC.FFIV$865.1M+10.9%+82.2%+24.7%$1.6B
FORMFACTOR INCFORM$258.2M+31.9%+50.7%+22.4%$109.8M$11.6M
FOX FACTORY HOLDING CORPFOXF$358.1M-4.5%+30.6%+4.9%$504.7M
FULL HOUSE RESORTS INCFLL$78.1M+5.6%+93.0%+2.9%$33.4M$469.7M
FULTON FINANCIAL CORPFULT$79.3M+14.7%
G III APPAREL GROUP LTD /DE/GIII$554.1M-9.6%+45.2%+2.0%$529.2M$7.8M
Globalstar, Inc.GSAT$64.8M-3.5%-7.4%$409.8M$358.8M
HARMONIC INC.HLIT$133.5M+53.5%+52.4%+17.7%$231.9M$110.6M
HERITAGE FINANCIAL CORP /WA/HFWA$85.7M$204.4M
HOPE BANCORP INCHOPE$151.5M$472M
HOVNANIAN ENTERPRISES INCHOV$705.7M-11.8%$902.5M
ICHOR HOLDINGS, LTD.ICHR$294.8M+22.7%+13.9%+2.4%$256.5M$120.6M
IMAX CORPIMAX$102.8M+12.2%+61.2%+20.2%$159.9M
Inspired Entertainment, Inc.INSE$60.8M-24.3%+16.3%$319.4M
InterDigital, Inc.IDCC$260.2M-13.4%+53.5%$615.6M$389.1M
Iridium Communications Inc.IRDM$225.2M+3.8%+15.1%$184.2M
JACK IN THE BOX INCJACK$257.7M-1.8%+20.5%$1.5B
JFrog LtdFROG$163.8M+28.7%+77.9%-8.1%$96.7M
JOHNSON OUTDOORS INCJOUT$189.7M+5.0%+45.3%+9.7%$175.2M$0.00
Kimball Electronics, Inc.KE$352.9M-5.8%+7.9%+3.3%$88.9M$116.2M
Knowles CorpKN$142.5M+31.8%+44.1%+13.1%$41M$131M
KULICKE & SOFFA INDUSTRIES INCKLIC$330.4M+122.6%+47.8%+20.7%$368.6M
LA-Z-BOY INCLZB$475.7M-3.4%+43.9%-0.4%-$7.6M$267.3M
LGI Homes, Inc.LGIH$516M+5.7%+19.7%
Limoneira COLMNR$42.2M-8.2%+11.7%-7.0%$101.5M
LITTELFUSE INC /DELFUS$201M+16.4%+40.3%+18.7%$481.7M$631.5M
Lumentum Holdings Inc.LITE$425.2M+16.0%+28.8%-8.9%$2B$1.6B
Madison Square Garden Entertainment Corp.MSGE$210.8M+2.3%+7.6%$293.6M$570.8M
Madison Square Garden Sports Corp.MSGS$432.2M+1.9%+0.5%$164.5M$258.5M
MALIBU BOATS, INC.MBUU$235.7M+3.1%+17.5%-0.8%$74.4M$165M
MANHATTAN ASSOCIATES INCMANH$297.8M+9.3%+56.5%+22.2%$186.1M
MARCUS CORPMCS$231.7M+12.5%+11.7%$26.3M$149.1M
MARINEMAX INCHZO$611.3M-7.0%+35.7%+6.1%$174.8M$943.5M
MasterCraft Boat Holdings, Inc.MCFT$78.2M+3.0%+25.0%-1.7%$43.9M
MAXLINEAR, INCMXL$168.8M+55.2%+57.8%-2.5%$64.8M$123.9M
MESA LABORATORIES INC /CO/MLAB$60.1M+1.0%+64.9%+11.7%$14.2M$30.7M$66.1M
MONARCH CASINO & RESORT INCMCRI$136.6M+8.9%+25.6%$43M
MONRO, INC.MNRO$293.4M-4.0%+34.9%+6.3%$14.6M$60M
MOVADO GROUP INCMOV$169.8M+4.9%+59.4%+8.8%$211.6M
National Vision Holdings, Inc.EYE$498.8M+2.5%+4.3%$36M$230.1M
NETGEAR, INC.NTGR$168.6M-1.2%+40.2%-5.0%$174.3M
NETSCOUT SYSTEMS INCNTCT$210.4M+12.7%+78.9%+6.9%$47.3M$552.8M
NexPoint Residential Trust, Inc.NXRT$64.6M+2.3%+10.9%$14.6M$1.6B
NLIGHT, INC.LASR$82.6M+33.8%+31.1%-4.3%$295.8M
OCEANEERING INTERNATIONAL INCOII$456M+10.3%-83.5%-$59.4M$490.2M
OneSpan Inc.OSPN$60.5M+1.0%+73.6%+14.5%$43.3M
ONESPAWORLD HOLDINGS LtdOSW$261.2M+8.5%+9.4%$40.4M$81.6M
ONTO INNOVATION INC.ONTO$343.1M+35.3%+53.4%+18.5%$1.3B
OSI SYSTEMS INCOSIS$267.3M+9.0%+36.5%+2.9%$359.8M$1B
Outdoor Holding CoPOWW$14.5M+22.1%+84.5%+22.8%$68.8M
OXFORD INDUSTRIES INCOXM$394.4M-2.2%+73.8%+17.4%$9M$73.2M
Pacira BioSciences, Inc.PCRX$192.4M+6.2%+77.0%+2.2%$205.9M$363.1M
PagerDuty, Inc.PD$124.4M+0.8%+83.9%+8.2%$233.7M
Park Hotels & Resorts Inc.PK$680M+1.2%+14.0%$264M$3.9B
PATHWARD FINANCIAL, INC.CASH$189.6M-3.1%$149.4M$201M
PC CONNECTION INCCNXN$854M+12.4%+18.4%+5.0%$123.7M
Pebblebrook Hotel TrustPEB$407.1M-0.1%+14.1%$261M$2.1B
PETMED EXPRESS INCPETS$41M-19.9%+27.6%-15.2%-$8.3M$13.1M
PHIBRO ANIMAL HEALTH CORPPAHC$383.5M+10.3%+32.8%+11.6%$61.4M
PHOTRONICS INCPLAB$216M+2.7%+33.2%+21.1%$549.5M
PLEXUS CORPPLXS$1.3M+28.1%+10069.1%+4695.1%$314.1M
POWER INTEGRATIONS INCPOWI$118.9M+2.7%+54.3%+7.5%$70.6M
PRA GROUP INCPRAA$6.1M-1.4%+1156.3%$132.4M
PROGRESS SOFTWARE CORP /MAPRGS$253.5M+6.8%+82.3%+17.8%$103M$1.3B
ProPetro Holding Corp.PUMP$305.8M-6.2%-1.0%$784M$775.9M
QUALYS, INC.QLYS$182.2M+11.0%+83.4%+34.0%$250.3M
Rapid7, Inc.RPD$210.9M-1.5%+68.9%+1.4%$425.6M
READING INTERNATIONAL INCRDI$66.9M+10.8%+11.2%$5.7M$108M
RED ROBIN GOURMET BURGERS INCRRGB$277.6M-2.1%+2.2%$22.8M$163.4M
Red Violet, Inc.RDVT$26.7M+22.7%+22.8%$50M
RLJ Lodging TrustRLJ$383M+5.5%$937.6M$2.7B
ROGERS CORPROG$200.5M+5.2%+32.2%+5.3%$1.1M$195.8M
RPC INCRES$334.7M-23.3%+24.6%-0.6%$14.9M$179.5M
SCANSOURCE, INC.SCSC$766.8M+8.8%+14.0%+3.0%$88.4M$101.4M
Select Water Solutions, Inc.WTTR$395.8M+8.7%+19.4%+8.7%$33.4M$259.6M
SEMTECH CORPSMTC$291M+15.9%+52.0%+8.9%$28M$163.3M$492M
Service Properties TrustSVC$320.1M-20.9%$5.5M
SILICON LABORATORIES INC.SLAB$228.2M+18.3%+61.6%-4.7%$362.2M
SITIME CorpSITM$157.4M+126.5%+63.0%+5.2%
Six Flags Entertainment Corporation/NEWFUN$864.9M-7.0%+91.3%+10.2%$134.5M$5B
SMITH & WESSON BRANDS, INC.SWBI$112.6M+32.3%+28.7%+3.7%-$20.8M$18.7M
SOUNDTHINKING, INC.SSTI$23.9M-7.7%+48.3%-19.5%$6.4M
STANDARD MOTOR PRODUCTS, INC.SMP$501.6M+1.6%+32.8%+10.1%$588.8M
STEVEN MADDEN, LTD.SHOO$662.9M+19.2%+46.7%+5.9%$124.8M
STURM RUGER & CO INCRGR$158.1M+19.3%+21.3%+4.8%$30.7M
Summit Hotel Properties, Inc.INN$199M+3.2%+14.5%$36.9M$1.4B
Sunstone Hotel Investors, Inc.SHO$277.1M+6.7%$94.4M$968.4M
SUPERNUS PHARMACEUTICALS, INC.SUPN$219.1M+32.4%+84.6%-26.5%$180M
Tenable Holdings, Inc.TENB$268.5M+8.6%+77.5%+4.6%$125.4M
TTM TECHNOLOGIES INCTTMI$1B+37.4%+21.1%+10.9%$507.9M$973.5M
Ultra Clean Holdings, Inc.UCTT$435M-31.5%+15.0%+1.3%$255.9M$599.4M
United Parks & Resorts Inc.PRKS$483.3M-1.4%+24.2%$19.1M$2.3B
UNIVERSAL ELECTRONICS INCUEIC$73.2M-25.0%+35.4%+6.5%$32.4M
VAIL RESORTS INCMTN$1.2B-7.0%+41.0%$371.4M$3B
VARONIS SYSTEMS INCVRNS$67.1M+25.6%+89.5%-10.2%$233.6M
VEECO INSTRUMENTS INCVECO$143.4M+53.2%+38.6%$214.5M$226.5M
VIAVI SOLUTIONS INC.VIAV$406.8M+42.8%+57.5%+6.1%$647.8M$244.8M
VICOR CORPVICR$113M+20.2%+55.2%+14.9%-$16.3M$404.2M
Vishay Precision Group, Inc.VPG$83.9M+11.7%+38.6%-0.4%$75.7M$15.6M
WINNEBAGO INDUSTRIES INCWGO$698.7M-9.9%+13.6%+3.3%$57.1M$442.9M
WOLVERINE WORLD WIDE INC /DE/WWW$506.4M+6.8%+46.5%+9.3%$547.1M
WORKIVA INCWK$255.3M+18.6%+80.4%+4.6%$78M$252.5M
WORLD ACCEPTANCE CORPWRLD$139.2M+4.8%$63.1M$10.4M$572.8M
WYNDHAM HOTELS & RESORTS, INC.WH$375M-5.5%+46.4%$69M
Xenia Hotels & Resorts, Inc.XHR$295.5M+2.8%+32.9%+0.0%$112.4M$1.4B
Xperi Inc.XPER$114.5M+8.1%+2.5%$90.6M$40M
YETI Holdings, Inc.YETI$483.9M+8.5%+66.7%+19.3%$96.4M

Frequently asked questions

What data does Belvedere show on the screener?
SEC-derived revenue, year-over-year revenue growth, margins, Belvedere free cash flow, cash, and identified debt for companies in the current universe extract. Licensed market prices are not shown.
Is this a live market-data terminal?
No. Figures update when the SEC extract is rebuilt. They are not streaming quotes.
How is free cash flow calculated?
Belvedere FCF is operating cash flow minus capex when both are tagged. It may differ from company-defined non-GAAP FCF.