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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)
TZOO TRAVELZOO 4 B A C D N/A 33.6 55,119 168,958
BMCH BMC STOCK HOLDINGS INCORPORATED 10 B A A C N/A 11.1 323,987 1,399,307
HSDT HELIUS MEDICAL TECHNOLOGIES INCORPORATED 2 F A F C N/A N/A 40,733 61,044
GERN GERON CORPORATION 2 F A F C N/A N/A 1,978,063 229,415
SUI SUN COMMUNITIES INCORPORATED 8 A A F C 2.29 100 331,433 11,913,263
CRC CALIFORNIA RESOURCES CORPORATION 4 F A C A N/A 2.8 3,274,732 713,456
WMS ADVANCED DRAINAGE SYSTEMS INCORPORATED 10 B A B C 1.12 26.1 223,998 1,867,514
FBK FB FINANCIAL CORPORATION 7 D A C C 0.86 14.6 78,443 1,135,648
AY ATLANTICA YIELD PUBLIC LIMITED COMPANY 8 B A D N/A 6.75 60.8 220,127 2,305,993
SUN SUNOCO LIMITED PARTNERSHIP 9 A A A C 9.81 20.2 352,785 2,762,989
ZNGA ZYNGA INCORPORATED 7 A A D F N/A N/A 27,218,540 5,873,577
CHS CHICO'S FAS INCORPORATED 9 F A A A 10.77 46.4 1,947,963 384,501
ZUMZ ZUMIEZ INCORPORATED 6 D A B C N/A 13.4 327,169 634,516
WW WEIGHT WATCHERS INTERNATIONAL INC 4 F A C C N/A 9.9 2,607,138 1,660,210
QD QUDIAN INCORPORATED 3 A A C C N/A 4.1 3,635,894 1,875,694
GES GUESS INCORPORATED 6 F A B A 2.70 110.9 1,122,871 1,192,123
CYOU CHANGYOU COM LIMITED 3 A A A C N/A 3.5 152,724 160,778
CLAR CLARUS CORPORATION 9 A A C C 0.70 40.6 132,447 433,718
DLB DOLBY LABORATORIES INCORPORATED 6 F A C D 1.17 22.6 279,096 4,189,491
HCP HCP INCORPORATED 8 A A F C 4.68 13.9 1,762,129 15,171,180

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