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Displaying 61 - 80 stocks of 4593 found.
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Ticker Company Overall Score Tech. Grade Fund. Grade Valu. Grade Own. Gradesort descending Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
RYN RAYONIER INCORPORATED 7 C D D A 4.02 50.2 747,818 3,505,195
TWI TITAN INTERNATIONAL INCORPORATED 4 F F B A 0.75 N/A 359,916 171,473
OPNT OPIANT PHARMACEUTICALS INCORPORATED 5 D A D A N/A N/A 40,240 59,463
MGY MAGNOLIA OIL & GAS CORPORATION 5 F F C A N/A N/A 1,244,219 1,702,164
TCBK TRICO BANCSHARES 9 B B C A 2.42 13 56,093 1,109,954
ESPR ESPERION THERAPEUTICS INCORPORATED 5 D B D A N/A N/A 476,234 1,043,638
CODI COMPASS DIVERSIFIED HOLDINGS 10 A C B A 7.69 3.9 116,486 1,311,167
AHT ASHFORD HOSPITALITY TRUST INCO 5 F D C A 8.70 N/A 915,434 494,419
OTEL OTELCO INCORPORATED 6 C D C A N/A 4.6 23,317 39,977
BHVN BIOHAVEN PHARMACEUTICAL HOLDING COMPANY LIM 4 B C N/A A N/A N/A 595,869 2,045,480
MOTS MOTUS GI HOLDINGS INCORPORATED 3 F B F A N/A N/A 55,668 77,093
DLPN DOLPHIN ENTERTAINMENT INCORPORATED 3 F B C A N/A N/A 14,831 15,028
PTN PALATIN TECHNOLOGIES INCORPORATED 4 C F F A N/A N/A 1,070,717 229,086
RRR RED ROCK RESORTS INCORPORATED 5 D D C A 2.03 48 1,291,608 1,317,947
NMFC NEW MOUNTAIN FINANCE CORPORATION 6 B D F A 10.01 12.7 392,540 1,202,387
WSBC WESBANCO INCORPORATED 7 D B D A 3.57 11.4 152,539 1,877,201
TIPT TIPTREE INCORPORATED 10 B B B A 2.42 16.5 12,507 229,080
ALRN AILERON THERAPEUTICS INCORPORATED 2 F F N/A A N/A N/A 301,166 16,408
IESC IES HOLDINGS INCORPORATED 9 B N/A A A N/A 14.2 14,647 405,013
KINS KINGSTONE COMPANIES INCORPORATED 5 F F B A 3.10 N/A 50,318 86,747

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