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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)
INOV INOVALON HOLDINGS INCORPORATED 7 A C C A N/A N/A 254,205 1,091,428
AXSM AXSOME THERAPEUTICS INCORPORATED 4 A D N/A A N/A N/A 985,680 867,262
INXN INTERXION HOLDING NV 7 A C F N/A N/A 170.4 312,427 5,840,340
PAYS PAYSIGN INCORPORATED 4 A A F N/A N/A 250 2,061,631 759,963
BSX BOSTON SCIENTIFIC CORPORATION 5 A C F F N/A 33 6,488,358 58,755,047
DNBF DNB FINANCIAL CORPORATION 8 A B D B 0.63 18.1 19,325 195,241
PCTI PC-TEL INCORPORATED 6 A F B A 4.85 N/A 39,061 91,353
CSWI CSW INDUSTRIALS INCORPORATED 9 A B C C 0.79 23.5 61,397 1,051,680
KN KNOWLES CORPORATION 9 A B C C N/A 24.5 495,653 1,633,509
FEIM FREQUENCY ELECTRONICS INCORPORATED 7 A C C C N/A N/A 4,829 101,966
TSS TOTAL SYSTEM SERVICES INCORPORATED 8 A C D C 0.39 40.5 1,041,061 23,374,170
EDU NEW ORIENTAL EDUCATION & TECHNOLOGY GROUP I 5 A D C C N/A 59.5 1,197,499 14,729,699
NICE NICE SYSTEMS LIMITED 9 A B D C N/A 54.8 174,130 8,901,546
KEYS KEYSIGHT TECHNOLOGIES INCORPORATED 8 A A C D N/A 61.2 1,399,891 17,193,184
GEC GREAT ELM CAPITAL GROUP INCORPORATED 5 A F D C N/A N/A 18,093 107,171
MCO MOODY'S CORPORATION 7 A B F C 1.00 29.8 550,270 38,926,776
FSLR FIRST SOLAR INCORPORATED 7 A C B D N/A N/A 676,275 6,951,191
PPC PILGRIMS PRIDE CORPORATION 9 A D A C N/A 30.5 655,875 6,624,595
OKTA OKTA INCORPORATED 5 A B F F N/A N/A 1,585,964 14,062,043
LGIH LGI HOMES INCORPORATED 6 A C B D N/A 12.3 216,644 1,741,000

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