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Ticker Company Overall Score Tech. Gradesort descending Fund. Grade Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
HRZN HORIZON TECHNOLOGY FINANCE CORPORATION 8 A B F A 10.06 10.2 121,809 161,715
FNF FIDELITY NATIONAL FINANCIAL INCORPORATED 9 A B B C 2.80 16.3 1,010,202 12,137,420
WTS WATTS WATER TECHNOLOGIES INCORPORATED 9 A B C C 0.99 24.3 97,553 2,581,669
DENN DENNY S CORPORATION 7 A C C F N/A 20.2 480,963 1,357,313
CVI CVR ENERGY INCORPORATED 10 A B A C 7.00 10.8 668,111 4,228,334
TNAV TELENAV INCORPORATED 5 A C C D N/A N/A 926,095 506,637
PDFS PDF SOLUTIONS INCORPORATED 5 A D D C N/A N/A 84,843 373,095
TMHC TAYLOR MORRISON HOME II CORPORATION 10 A B B C N/A 10.5 722,820 2,366,293
AWR AMERICAN STATES WATER COMPANY 8 A A D D 1.39 42.6 272,362 3,231,640
SAFE SAFEHOLD INCORPORATED 6 A D F A 2.16 32.8 144,921 1,153,827
LNTH LANTHEUS HOLDINGS INCORPORATED 5 A C C F N/A 23.3 309,071 902,725
MDLZ MONDELEZ INTERNATIONAL INCORPORATED 9 A B C C 2.09 21.4 6,537,039 78,654,861
EW EDWARDS LIFESCIENCES CORPORATION 6 A A F D N/A 64.1 884,670 45,615,920
BPL BUCKEYE PARTNERS LIMITED PARTNERSHIP 6 A F C C 7.32 N/A 1,807,188 6,313,839
AZO AUTOZONE INCORPORATED 8 A B C C N/A 19.5 344,151 26,779,290
PGR THE PROGRESSIVE CORPORATION 8 A B B F 0.51 14.1 3,155,297 45,304,374
TYPE MONOTYPE IMAGING HOLDINGS INCORPORATED 9 A A D C 2.35 32 266,746 819,567
ENTG ENTEGRIS INCORPORATED 7 A B C D 0.75 20.5 693,122 5,712,411
TPX TEMPUR SEALY INTERNATIONAL INCORPORATED 6 A B C F N/A 33.3 765,590 4,092,812
MRCY MERCURY SYSTEMS INCORPORATED 7 A A D C N/A 87.3 285,009 4,647,554

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