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Displaying 141 - 160 stocks of 4591 found.
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Ticker Company Overall Score Tech. Grade Fund. Grade Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)sort ascending
COP CONOCOPHILLIPS 7 F B B C 2.32 8.7 6,075,823 57,139,009
ISRG INTUITIVE SURGICAL INCORPORATED 5 C B F D N/A 48.9 589,880 57,102,099
SAN BANCO SANTANDER SA 5 D D B N/A 7.64 8.4 22,803,513 56,727,546
GD GENERAL DYNAMICS CORPORATION 8 D B B C 2.18 16.7 1,114,726 53,248,391
GM GENERAL MOTORS COMPANY 10 A A A D 4.11 5.9 7,059,878 52,825,936
TAK TAKEDA PHARMACEUTICAL COMPANY LIMITED 0 C N/A N/A C 4.98 33.9 1,398,794 52,713,328
E ENI 7 D D A C 6.29 13.5 237,681 52,641,097
PLD PROLOGIS INCORPORATED 7 A A F D 2.57 30.8 2,417,932 51,998,718
CSX CSX CORPORATION 5 C C D C 1.48 15.7 4,182,351 51,953,276
AGN ALLERGAN PUBLIC LIMITED COMPANY 5 D C D N/A 1.86 N/A 3,877,024 51,911,222
ICE INTERCONTINENTAL EXCHANGE INCORPORATED 6 A C F D 1.20 26.2 1,864,536 51,373,243
BAM BROOKFIELD ASSET MANAGEMENT INCORPORATED 7 A F C C 1.24 N/A 1,588,278 50,880,321
WM WASTE MANAGEMENT INCORPORATED 8 A B C D 1.74 29.3 1,956,956 50,534,516
APD AIR PRODUCTS & CHEMICALS INCORPORATED 9 A A D A 2.06 29.6 896,472 50,408,410
RTN RAYTHEON COMPANY 7 C A B F 2.03 16.5 1,484,359 49,631,973
MMC MARSH & MCLENNAN COMPANIES 8 A C C C 1.87 34.1 1,364,914 49,507,090
DD DUPONT DE NEMOURS INCORPORATED 9 D A A N/A 1.79 56.7 3,217,259 49,291,270
VOD VODAFONE GROUP PUBLIC LIMITED COMPANY 6 D N/A B C 5.07 N/A 3,088,916 49,091,338
SHW THE SHERWIN-WILLIAMS COMPANY 7 A C C D 0.86 42.4 473,027 48,903,992
AIG AMERICAN INTERNATIONAL GROUP INCORPORATED 10 B A A C 2.40 N/A 4,942,902 48,794,474

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