StockScouter Screener

Displaying 1 - 20 stocks of 4592 found.
move slider from both sides
Ticker Company Overall Score Tech. Grade Fund. Grade Valu. Gradesort descending Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
AVT AVNET INCORPORATED 6 C B A F 1.87 18.7 515,242 4,606,869
PGR THE PROGRESSIVE CORPORATION 10 A A A D 0.50 16.3 2,177,231 47,863,493
AFI ARMSTRONG FLOORING INCORPORATED 4 D F A C N/A N/A 379,317 296,765
PFG PRINCIPAL FINANCIAL GROUP INCORPORATED 9 B C A C 3.76 10.4 1,142,186 15,573,619
PTR PETROCHINA COMPANY LIMITED 5 D F A C 4.80 12.8 94,733 11,460,922
MYRG MYR GROUP INCORPORATED 7 C C A C N/A 18.6 54,119 559,591
NLNK NEWLINK GENETICS CORPORATION 5 F B A C N/A N/A 276,539 58,151
ARNC ARCONIC INCORPORATED 9 B A A A 0.33 17.4 3,290,286 10,357,450
BVSN BROADVISION INCORPORATED 4 C C A N/A N/A N/A 4,727 7,285
PCOM POINTS INTERNATIONAL LIMITED 5 F C A C N/A N/A 133,857 165,251
HUBG HUB GROUP INCORPORATED 8 D C A C N/A 6.7 206,546 1,423,842
HPQ HP INCORPORATED 6 F B A F 3.10 8.5 7,961,073 29,990,274
TECK TECK RESOURCES LIMITED 9 C B A C 0.66 N/A 1,893,558 12,047,291
LTRPA LIBERTADORES TRIP ADVISOR HOLDINGS INCORPOR 7 F A A C N/A N/A 375,815 874,422
BCS BARCLAYS PUBLIC LIMITED COMPANY 8 C C A C 5.57 7.2 2,040,798 31,856,765
WLK WESTLAKE CHEMICAL CORPORATION 4 F D A C 1.51 10.8 744,870 8,199,090
MET METLIFE INCORPORATED 9 B C A C 3.59 9.7 3,921,361 47,796,983
FDP FRESH DEL MONTE PRODUCE 5 F D A C 2.20 N/A 188,161 1,372,240
ASPS ALTISOURCE PORTFOLIO SOLUTIONS SA 5 F C A C N/A N/A 97,221 312,882
AVP AVON PRODUCTS INCORPORATED 2 A B A N/A N/A N/A 9,879,319 1,693,104

Pages