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Ticker Company Overall Score Tech. Grade Fund. Grade Valu. Gradesort descending Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
AAP ADVANCE AUTO PARTS INCORPORATED 8 C C A C 0.18 22.7 2,650,046 9,750,750
MCK MCKESSON CORPORATION 6 B B A D 1.11 46.7 1,445,279 26,864,702
HIHO HIGHWAY HOLDINGS LIMITED 5 F F A A 11.83 N/A 7,544 6,377
DAKT DAKTRONICS INCORPORATED 6 D F A A 3.22 N/A 98,605 273,536
EDN EMPRESA DISTRIBUIDORA COMERCIALIZADORA NORT 3 F N/A A C N/A 0.9 515,772 168,265
F FORD MOTOR COMPANY 9 A D A C 6.64 16.4 32,668,276 35,114,132
UIS UNISYS CORPORATION 6 F A A C N/A 13.6 1,037,495 502,767
FMX FOMENTO ECONOMICO MEXICANO SAB DE CV 9 C A A C 1.71 28.4 363,362 19,171,739
CVTI COVENANT TRANSPORTATION GROUP INCORPORATED 5 F C A C N/A 7.1 114,029 227,445
VIOT VIOMI TECHNOLOGY COMPANY LIMITED 3 B B A C N/A N/A 68,860 276,616
PMBC PACIFIC MERCANTILE BANCORPORATION 8 D D A A N/A 14.8 16,817 169,352
BG BUNGE LIMITED 8 D B A C 3.64 15.2 1,151,480 7,767,233
SNDR SCHNEIDER NATIONAL INCORPORATED 8 C C A C 1.26 15.1 660,845 1,773,502
BANF BANCFIRST CORPORATION 9 C A A C 2.20 13.7 35,087 1,755,813
CHSCP CHS INC 8 C N/A A N/A 7.06 N/A 10,163 2,468,712
DIT AMCON DISTRIBUTING COMPANY 9 N/A C A N/A 0.89 11.4 547 49,990
AVP AVON PRODUCTS INCORPORATED 3 A B A C N/A N/A 6,949,196 1,844,265
PHM PULTEGROUP INCORPORATED 10 A A A D 1.33 10 2,051,888 8,794,203
INUV INUVO INCORPORATED 4 F A A A N/A N/A 199,803 11,475
SWIR SIERRA WIRELESS INCORPORATED 7 F B A C N/A N/A 229,707 393,114

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