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Ticker Company Overall Scoresort descending Tech. Grade Fund. Grade Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
CECO CAREER EDUCATION CORPORATION 10 A A C C N/A 22.8 248,141 1,383,132
KGC KINROSS GOLD CORPORATION 10 A A C C N/A N/A 9,938,462 5,071,783
COLM COLUMBIA SPORTSWEAR COMPANY 10 B A B C 0.92 24.5 167,319 6,985,143
CIB BANCOLOMBIA SA 10 A B B C 2.39 13.2 133,622 5,815,445
ENIA ENEL AMERICAS SA 10 A C A C 8.04 8.3 1,965,872 8,257,392
MHO M/I HOMES INCORPORATED 10 B B A C N/A 7.9 123,497 820,453
ATRO ASTRONICS CORPORATION 10 A A B C N/A 10.3 243,454 956,386
AVT AVNET INCORPORATED 10 B B A C 1.84 18.6 623,071 4,622,813
PKOH PARK OHIO HOLDINGS CORPORATION 10 C B A A 1.64 6.9 17,084 390,960
EMCI EMC INSURANCE GROUP INCORPORATED 10 A A B C 2.56 30 9,940 779,181
NSIT INSIGHT ENTERPRISES INCORPORATED 10 A B A C N/A 11.9 131,822 2,034,143
LAWS LAWSON PRODUCTS INCORPORATED 10 A A B B N/A 38.4 24,827 328,445
EME EMCOR GROUP INCORPORATED 10 A B A C 0.38 16.1 306,209 4,892,992
AIN ALBANY INTERNATIONAL CORPORATION 10 A A C C 0.91 25 165,937 2,356,766
MOG.A MOOG INCORPORATED 10 A B B C N/A 19.7 113,587 3,276,119
ETH ETHAN ALLEN INTERIORS INCORPORATED 10 C A A C 3.68 13.8 251,530 551,269
PLXS PLEXUS CORPORATION 10 B A A C N/A 12.6 113,169 1,799,677
BHE BENCHMARK ELECTRONICS INCORPORATED 10 B B A C 2.42 18.7 244,706 965,718
MTSC MTS SYSTEMS CORPORATION 10 A B B A 2.18 23.9 112,844 1,009,374
NAII NATURAL ALTERNATIVES INTERNATIONAL INCORPOR 10 A B B C N/A 7.7 6,622 81,083

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