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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)
ECL ECOLAB INCORPORATED 8 A C C D 0.96 38 903,296 57,322,687
NUAN NUANCE COMMUNICATIONS INCORPORATED 7 A B C F N/A 94.8 1,581,246 4,883,275
WNS WNS HOLDINGS LIMITED 10 A A C C N/A 28.8 139,829 2,891,048
PG THE PROCTER & GAMBLE COMPANY 8 A A D F 2.66 26.7 7,082,529 278,926,296
HSY THE HERSHEY COMPANY 8 A B C D 2.10 25.6 1,074,887 20,497,088
PNM PNM RESOURCES INCORPORATED 6 A C D C 2.25 46.5 328,947 4,040,051
PCMI PCM 2 A A A C N/A 18 102,277 315,250
ETR ENTERGY CORPORATION 6 A C C D 3.51 19.9 1,693,644 19,380,049
CVRS CORINDUS VASCULAR ROBOTICS 4 A C F A N/A N/A 1,225,219 566,358
ZEN ZENDESK INCORPORATED 5 A B F D N/A N/A 1,574,149 9,511,338
LHCG LHC GROUP INCORPORATED 6 A B C F N/A 45.6 153,488 3,610,358
ACIW ACI WORLDWIDE INCORPORATED 7 A B D C N/A 61.2 625,037 3,583,347
AIV APARTMENT INVESTMENT & MANAGEMENT COMPANY 6 A C F C 3.05 9 705,231 7,609,627
CSIQ CANADIAN SOLAR INCORPORATED 8 A B B C N/A 7.8 713,802 1,280,630
OCX ONCOCYTE CORPORATION 2 A B N/A C N/A N/A 180,323 191,261
MSEX MIDDLESEX WATER COMPANY 7 A A F D 1.60 29 65,007 1,018,875
PRGS PROGRESS SOFTWARE CORPORATION 5 A D D D 1.53 30.7 199,682 1,832,304
CCOI COGENT COMMUNICATIONS HOLDINGS INCORPORATED 7 A B D D 4.06 88.3 239,081 2,758,016
TMQ TRILOGY METALS INCORPORATED 5 A F N/A C N/A N/A 119,077 382,974
TCX TUCOWS INCORPORATED 5 A F C C N/A 39.2 91,773 659,225

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