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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)
BCBP BCB BANCORP INCORPORATED 9 C B A C 4.62 10 16,323 198,849
CFBK CENTRAL FEDERAL CORPORATION 9 N/A B B B N/A 7.9 5,590 53,892
AXS AXIS CAPITAL HOLDINGS LIMITED 9 A A B C 2.45 50.5 483,221 5,673,011
HAYN HAYNES INTERNATIONAL INCORPORATED 9 C B A C 2.92 62.8 88,771 369,134
KBR KBR INCORPORATED 9 A B B C 1.26 18.9 1,628,188 3,582,757
ALLT ALLOT LIMITED 9 B B B C N/A N/A 72,625 242,356
TEL TE CONNECTIVITY LIMITED 9 B B B N/A 2.02 10 1,243,402 30,230,791
FFNW FIRST FINANCIAL NORTHWEST INCORPORATED 9 B A C C 2.58 13.8 26,000 142,912
DLHC DLH HOLDINGS CORPORATION 9 B B B C N/A 9.8 11,234 49,588
KDP KEURIG DR PEPPER INCORPORATED 9 A B D A 2.15 40 2,443,220 39,402,619
DISCK DISCOVERY INCORPORATED 9 C A B C N/A 11.1 2,431,448 14,388,094
CVE CENOVUS ENERGY INCORPORATED 9 B C A C 1.84 34.3 3,225,252 10,038,561
H HYATT HOTELS CORPORATION 9 B A B C 1.00 18.9 575,667 2,812,529
AT ATLANTIC POWER CORPORATION 9 B A C C N/A 8.3 277,755 254,860
FAF FIRST AMERICAN FINANCIAL CORPORATION 9 A B B C 2.91 12.2 813,579 6,492,216
LPLA LPL FINANCIAL HOLDINGS INCORPORATED 9 A A B D 1.36 11.8 805,362 5,891,678
BCOV BRIGHTCOVE INCORPORATED 9 A B C C N/A N/A 126,168 457,051
SUN SUNOCO LIMITED PARTNERSHIP 9 A D A C 10.79 20 371,603 2,518,052
HY HYSTE-YALE MATERIALS HANDLING 9 D A A B 2.20 28.4 78,182 737,414
MODN MODEL N INCORPORATED 9 A A D C N/A N/A 558,020 855,746

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