StockScouter Screener

Displaying 161 - 180 stocks of 4582 found.
move slider from both sides
Ticker Company Overall Score Tech. Gradesort descending Fund. Grade Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
AGRX AGILE THERAPEUTICS INCORPORATED 4 A D N/A A N/A N/A 294,572 56,385
MLAB MESA LABORATORIES INCORPORATED 6 A B F C 0.28 120.3 47,753 938,191
NVTA INVITAE CORPORATION 4 A B F D N/A N/A 1,579,820 2,032,203
FB FACEBOOK INCORPORATED 6 A C F D N/A 29.5 14,771,100 492,208,780
SR SPIRE INCORPORATED 8 A C C C 2.79 19.8 145,623 4,589,297
RCII RENT A CENTER INCORPORATED 10 A A A C N/A 40.1 760,707 1,504,545
DLTR DOLLAR TREE INCORPORATED 8 A C B D N/A N/A 1,554,214 26,711,007
CDAY CERIDIAN HCM HOLDING INCORPORATED 7 A B C D N/A N/A 526,177 7,063,126
HMST HOMESTREET INCORPORATED 6 A F C C N/A 23.2 120,162 792,301
GSIT GSI TECHNOLOGY INCORPORATED 5 A D C C N/A N/A 45,622 192,293
INSM INSMED INCORPORATED 3 A C F F N/A N/A 1,183,546 2,011,447
OTEX OPEN TEXT CORPORATION 8 A B D C 1.63 N/A 622,110 11,453,155
INCY INCYTE CORPORATION 7 A A D D N/A 68.8 965,950 17,176,564
FDS FACTSET RESEARCH SYSTEMS INCORPORATED 8 A B D F 1.03 32.9 384,748 11,343,669
DOV DOVER CORPORATION 8 A D B C 1.96 24 943,901 14,541,620
ROLL RBC BEARINGS INCORPORATED 7 A A D D N/A 37.9 87,643 4,071,989
OAK OAKTREE CAPITAL GROUP LIMITED LIABILITY COM 7 A C D C 8.43 17.3 468,978 4,126,447
YUMC YUM CHINA HOLDINGS INCORPORATED 7 A C B D 1.08 27 2,368,898 16,529,569
SLGN SILGAN HOLDINGS INCORPORATED 9 A C B D 1.46 14.9 389,249 3,399,864
PNW PINNACLE WEST CAPITAL CORPORATION 8 A B C C 3.15 20 812,025 10,499,022

Pages