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Ticker Company Overall Scoresort ascending Tech. Grade Fund. Grade Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
HRTG HERITAGE INSURANCE HOLDINGS INCORPORATED 10 A A A A 1.63 20.9 109,595 465,502
BCOV BRIGHTCOVE INCORPORATED 10 A A C C N/A N/A 73,547 379,535
CVI CVR ENERGY INCORPORATED 10 B A A C 6.28 14.3 369,456 4,582,203
RBCN RUBICON TECHNOLOGY INCORPORATED 10 B C A A N/A 22 2,951 21,918
BTG B2GOLD CORPORATION 10 A A C C N/A N/A 4,421,903 2,823,342
PCB PACIFIC CITY FINANCIAL CORPORATION 10 C A B A 1.42 10.8 12,400 272,129
PARR PAR PACIFIC HOLDINGS INCORPORATED 10 A A A C N/A 12.2 249,864 948,387
GLP GLOBAL PARTNERS LIMITED PARTNERSHIP 10 A A A C 10.17 6.4 101,806 765,609
AMP AMERIPRISE FINANCIAL INCORPORATED 10 A A A C 2.63 11.4 692,476 20,558,281
HALL HALLMARK FINANCIAL SERVICES INCORPORATED 10 A A B C N/A 10.5 78,997 239,949
WNS WNS HOLDINGS LIMITED 10 A A C C N/A 29.1 139,829 2,891,048
LDOS LEIDOS HOLDINGS INCORPORATED 10 A A A N/A 1.62 17.9 1,054,769 11,369,753
BT BT GROUP PUBLIC LIMITED COMPANY 10 B N/A A C N/A 9.4 780,459 26,179,835
ERIC TELEFONAKTIEBOLAGET LM ERICSSON 10 A A A C 1.09 N/A 5,571,785 29,036,439
SPNS SAPIENS INTERNATIONAL CORPORATION NV 10 A A C N/A 2.40 69.3 114,328 816,706
MLNX MELLANOX TECHNOLOGIES LIMITED 10 A A D A N/A 42.9 487,435 6,029,194
MTH MERITAGE HOMES CORPORATION 10 A B B C N/A 10 207,046 2,015,748
RCII RENT A CENTER INCORPORATED 10 A A A C N/A 38.7 1,331,465 1,400,206
HNI HNI CORPORATION 10 C A A C 3.61 16.9 118,049 1,528,133
DIT AMCON DISTRIBUTING COMPANY 10 N/A B A N/A 0.72 13.2 143 55,446

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