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Displaying 101 - 120 stocks of 4582 found.
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Ticker Company Overall Score Tech. Grade Fund. Gradesort descending Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
CATY CATHAY GENERAL BANCORP 7 D A D C 3.41 10.8 343,390 2,875,407
TFX TELEFLEX INCORPORATED 7 A A D D 0.41 84.6 181,150 15,427,898
ARE ALEXANDRIA REAL ESTATE EQUITIES INCORPORATE 8 A A F C 2.83 43.2 804,429 17,217,762
MSI MOTOROLA SOLUTIONS INCORPORATED 7 A A D F 1.35 29.2 733,648 28,389,332
SPRO SPERO THERAPEUTICS INCORPORATED 4 A A F C N/A N/A 48,284 186,198
Z ZILLOW GROUP INCORPORATED 5 B A B F N/A N/A 2,623,968 9,964,802
RLI RLI CORPORATION PRE REINCORPORATION 9 A A D C 1.03 32.2 123,221 3,946,148
CSII CARDIOVASCULAR SYSTEMS INCORPORATED 7 B A D C N/A 886.4 324,110 1,536,871
WY WEYERHAEUSER COMPANY 8 D A C A 5.42 100.4 3,166,790 19,021,834
IQ IQIYI INCORPORATED 8 B A A C N/A N/A 5,160,870 6,211,896
CLF CLEVELAND-CLIFFS INCORPORATED 7 B A C B 2.12 2.9 8,089,224 2,972,701
PRTA PROTHENA CORPORATION PUBLIC LIMITED COMPANY 5 C A F N/A N/A N/A 156,087 385,893
LNG CHENIERE ENERGY INCORPORATED 8 B A D C N/A 68.4 1,309,875 17,890,273
LAWS LAWSON PRODUCTS INCORPORATED 10 A A B B N/A 38.4 24,827 328,445
HK HALCON RESOURCES CORPORATION 3 F A D C N/A N/A 4,036,713 34,182
PLYA PLAYA HOTELS & RESORTS NV 8 C A C C N/A 23.7 468,766 995,066
ICLK ICLICK INTERACTIVE ASIA LIMITED 5 C A C C N/A N/A 29,849 187,577
ETSY ETSY INCORPORATED 5 B A F C N/A 89 1,971,855 7,763,886
IDCC INTERDIGITAL WIRELESS INCORPORATED 6 D A D D 2.15 73.9 378,556 2,116,308
LQDT LIQUIDITY SERVICES INCORPORATED 9 B A B C N/A N/A 71,890 197,291

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