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Ticker Company Overall Score Tech. Grade Fund. Grade Valu. Gradesort descending Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
HA HAWAIIAN HOLDINGS INCORPORATED 7 C B A C 1.98 5.4 491,282 1,169,009
MDCO THE MEDICINES COMPANY 9 A C A C N/A N/A 1,094,732 2,595,539
KR THE KROGER COMPANY 6 C C A B 2.70 10.2 8,024,437 18,100,785
BMO BANK OF MONTREAL 8 D B A C 4.48 9.8 343,844 44,834,209
ROAD CONSTRUCTION PARTNERSHIP INCORPORATED 8 B B A C N/A 18.3 143,861 480,378
GIII G-III APPAREL GROUP LIMITED 7 D B A A N/A 7.6 976,227 1,035,549
CNDT CONDUENT INCORPORATED 4 F D A C N/A N/A 6,082,021 1,403,231
UNM UNUM GROUP 7 D C A C 4.26 10.7 1,883,188 5,568,361
CHU CHINA UNICOM (HONG KONG) LIMITED 8 D C A C 1.98 19 538,603 30,383,854
KEG KEY ENERGY SERVICES INCORPORATED 3 F B A C N/A N/A 263,202 30,214
WRK WRKCO INCORPORATED 5 D D A D 5.41 10.4 2,823,405 8,582,322
ICON ICONIX BRAND GROUP INCORPORATED 3 F N/A A C N/A N/A 397,036 16,283
RECN RESOURCES CONNECTION INCORPORATED 10 B B A C 3.34 17 146,700 540,762
CORE CORE MARK HOLDING COMPANY INCORPORATED 9 C A A C 1.36 27.1 235,962 1,533,310
GGAL GRUPO FINANCIERO GALICIA SA 3 B A A C 1.93 3 10,260,226 1,703,359
HY HYSTE-YALE MATERIALS HANDLING 10 C A A B 2.26 27.9 78,182 737,414
VRTV VERITIV CORPORATION 3 F F A C N/A N/A 80,407 270,158
AVT AVNET INCORPORATED 10 B A A C 1.99 26.1 976,502 4,247,384
FTSI FTS INTERNATIONAL INCORPORATED 2 F F A C N/A 21.4 753,007 348,906
ADM ARCHER DANIELS MIDLAND 7 F D A A 3.69 16.2 3,673,276 21,075,896

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