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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)
RRC RANGE RESOURCES CORPORATION 5 F A B A 2.03 N/A 9,563,132 1,030,650
AOSL ALPHA AND OMEGA SEMICONDUCTOR 4 C A A C N/A 160.8 119,611 277,415
FLO FLOWERS FOODS INCORPORATED 9 A A B C 3.30 26.7 2,288,812 4,862,707
HAS HASBRO INCORPORATED 9 B A C C 2.38 47.1 864,677 14,433,608
STI SUNTRUST BANKS INCORPORATED 6 C A D D 3.68 10.6 2,442,471 27,096,651
ZAYO ZAYO GROUP HOLDINGS INCORPORATED 5 C A D F N/A 62.5 1,629,973 7,960,417
SALT SCORPIO BULKERS INCORPORATED 5 D A D N/A 1.32 18.4 288,907 403,088
ERII ENERGY RECOVERY INCORPORATED 6 A A D D N/A 38.3 349,987 484,791
BOH BANK OF HAWAII CORPORATION 8 B A D C 3.14 15 228,664 3,358,958
AGO ASSURED GUARANTY LIMITED 8 B A D C 1.65 10.4 578,814 4,386,628
BHC BAUSCH HEALTH COMPANIES INCORPORATED 6 C A C C N/A N/A 2,787,701 7,503,308
ALKS ALKERMES PUBLIC LIMITED COMPANY 5 F A C N/A N/A N/A 884,888 3,401,886
FBM FOUNDATION BUILDING MATERIALS INCORPORATED 8 A A A C N/A 458.5 294,229 744,982
FLIR FLIR SYSTEMS INCORPORATED 8 D A C C 1.42 23.8 572,354 6,370,770
DISCK DISCOVERY INCORPORATED 9 C A B C N/A 11.1 2,431,448 14,388,094
EDAP EDAP TMS SA 4 B A C C N/A 433.5 63,399 87,284
ALXN ALEXION PHARMACEUTICALS INCORPORATED 5 D A D C N/A 19.4 1,678,721 24,855,563
ACMR ACM RESEARCH INCORPORATED 4 A A C C N/A 21.3 474,836 223,904
HIIQ HEALTH INSURANCE INNOVATIONS INCORPORATED 4 F A B D N/A 26.9 690,673 215,128
ROLL RBC BEARINGS INCORPORATED 6 B A D D N/A 36.1 52,802 3,978,845

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