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Ticker Company Overall Scoresort ascending Tech. Grade Fund. Grade Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
CVI CVR ENERGY INCORPORATED 9 C B A C 3 2 706,390 4,126,798
PSX PHILLIPS 66 9 B C A C 3 1 2,044,865 46,096,661
XIN XINYUAN REAL ESTATE COMPANY LIMITED 9 B B B C 4 1 67,149 273,390
OCSL OKATREE SPECIALTY LENDING CORPORATION 9 A B D C 4 1 245,674 741,455
PCB PCB BANCORP 9 C A B N/A 2 2 91,886 258,510
DHT DHT HOLDINGS INCORPORATED 9 B A C N/A 2 1,446,331 864,483
FTI TECHNIPFMC PUBLIC LIMITED COMPANY 9 B C A N/A 2 4,651,983 11,385,291
JCI JOHNSON CONTROLS INTERNATIONAL PLC 9 A C A D 2 4 4,260,178 35,042,936
AIG AMERICAN INTERNATIONAL GROUP INCORPORATED 9 B B A C 2 3,145,090 51,518,333
CORR CORENERGY INFRASTRUCTURE TRUST INCORPORATED 9 A B D C 3 3 108,130 724,274
ET ENERGY TRANSFER LP 9 C B A C 4 1 7,879,982 36,777,769
T AT&T INCORPORATED 9 A C B C 3 2 60,505,668 277,008,370
VIAB VIACOM INCORPORATED 9 D A A C 3 1 5,853,529 10,606,754
CPA COPA HOLDINGS S A 9 A C B C 2 4 340,716 3,088,726
IESC IES HOLDINGS INCORPORATED 9 B N/A A A 0 2 26,855 432,806
SFE SAFEGUARD SCIENTIFICS INCORPORATED 9 A C N/A C 0 1 104,290 259,608
ACN ACCENTURE PUBLIC LIMITED COMPANY 9 A B C D 2 3 2,489,085 130,784,640
OPNT OPIANT PHARMACEUTICALS INCORPORATED 9 C A C A 0 34,249 57,988
HBI HANESBRANDS INCORPORATED 9 C B B A 3 1 6,799,236 5,723,226
SPR SPIRIT AEROSYSTEMS HOLDINGS INCORPORATED 9 C B A C 1 2 781,539 8,733,774

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