StockScouter Screener

Displaying 1 - 20 stocks of 4562 found.
move slider from both sides
Ticker Company Overall Score Tech. Grade Fund. Gradesort descending Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
LTRPA LIBERTADORES TRIP ADVISOR HOLDINGS INCORPOR 7 D A A C N/A N/A 375,815 874,422
TRUE TRUECAR INCORPORATED 5 F A B C N/A N/A 3,521,356 578,037
HTH HILLTOP HOLDINGS INCORPORATED 8 B A B D 1.60 13.8 238,570 1,890,938
ROIC RETAIL OPPORTUNITY INVESTMENTS CORPORATION 5 D A F C 4.73 42.8 614,596 1,973,025
DLPN DOLPHIN ENTERTAINMENT INCORPORATED 3 F A C B N/A N/A 8,349 15,259
DGLY DIGITAL ALLY INCORPORATED 4 B A C C N/A N/A 171,217 31,321
IMUX IMMUNIC INCORPORATED 3 F A N/A N/A N/A N/A 31,457 96,295
PLYA PLAYA HOTELS & RESORTS NV 7 D A C C N/A 23.8 406,676 1,060,274
CTBI COMMUNITY TRUST BANCORP INCORPORATED 7 F A C C 3.52 12.5 16,462 720,695
ARNC ARCONIC INCORPORATED 9 B A A A 0.32 17.5 3,290,286 10,357,450
FTDR FRONTDOOR INCORPORATED 2 B A C A N/A 30.8 860,114 3,505,540
TRS TRIMAS CORPORATION 8 B A C F N/A 17.6 102,515 1,351,849
PK PARK HOTELS & RESORTS INCORPORATED 8 D A C C 6.64 13.2 1,644,997 5,678,424
EXPO EXPONENT INCORPORATED 9 A A D C 1.12 42.8 162,218 3,006,106
CALX CALIX NETWORKS INCORPORATED 4 D A B B N/A N/A 161,197 336,641
PLD PROLOGIS INCORPORATED 9 A A F C 2.71 29.4 1,971,294 50,438,208
CFRX CONTRAFECT CORPORATION 3 F A N/A C N/A N/A 854,380 37,132
EVOP EVO PAYMENTS INCORPORATED 7 A A C D N/A N/A 213,590 957,277
HASI HANNON ARMSTRONG SUSTAINABLE INFRASTRUCTURE 8 A A F B 4.99 28.2 271,994 1,723,608
SPNS SAPIENS INTERNATIONAL CORPORATION NV 10 A A C N/A 2.47 69.5 114,328 816,706

Pages