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Ticker Company Overall Score Tech. Grade Fund. Gradesort descending Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
FOR FORESTAR GROUP INCORPORATED 9 A A D C 0 2 121,204 881,225
EVRG EVERGY INCORPORATED 8 A A D C 3 3 2,212,048 15,058,179
CDR CEDAR REALTY TRUST INCORPORATED 4 F A D D 3 4 213,829 384,296
EIDX EIDOS THERAPEUTICS INCORPORATED 4 A A N/A D 0 117,900 1,422,985
OOMA OOMA 4 F A C F 0 92,212 236,742
ELF ELF BEAUTY INCORPORATED 4 A A D F 0 351,255 854,720
CRWS CROWN CRAFTS INCORPORATED 7 C A C C 3 2 56,259 66,279
SCHW CHARLES SCHWAB CORPORATION 6 F A C D 2 2 12,460,292 50,186,595
AVEO AVEO PHARMACEUTICALS INCORPORATED 2 F A F C 0 569,202 133,258
NTRS NORTHERN TRUST CORPORATION 6 D A A F 2 2 801,732 20,093,045
AMPH AMPHASTAR PHARMACEUTICALS INCORPORATED 6 D A C D 0 2 134,853 933,658
AAPL APPLE INCORPORATED 8 A A C F 2 3 29,972,674 1,067,475,035
PERI PERION NETWORK LIMITED 8 A A B N/A 0 2 177,188 118,135
KOF C-CLARIDEN FEMSA SAB DE CV 9 C A A C 2 3 106,825 3,254,201
LBAI LAKELAND BANCORP INCORPORATED 8 C A D C 3 2 98,345 772,987
AGO ASSURED GUARANTY LIMITED 9 B A D A 2 2 644,289 4,495,208
EXAS EXACT SCIENCES CORPORATION 5 B A F C 0 1,319,285 11,977,363
BSX BOSTON SCIENTIFIC CORPORATION 7 B A D D 0 4 13,068,443 53,253,320
RTIX RTI SURGICAL HOLDINGS INCORPORATED 5 F A C C 0 130,557 198,047
MVBF MVB FINANCIAL CORPORATION 8 C A C C 2 2 14,055 233,674

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