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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)
TRMT TREMONT MORTGAGE TRUST 5 F A F A 18.37 N/A 43,749 35,148
ORTX ORCHARD THERAPEUTICS PUBLIC LIMITED COMPANY 4 F A N/A C N/A N/A 165,980 1,287,345
FBIO FORTRESS BIOTECH INCORPORATED 4 B A D C N/A N/A 393,048 143,867
TITN TITAN MACHINERY INCORPORATED 4 B A A D N/A 34.1 328,559 451,223
STNG SCORPIO TANKERS INCORPORATED 4 A A D N/A 1.44 N/A 555,599 1,516,725
AFMD AFFIMED NV 3 F A D N/A N/A N/A 976,105 195,281
ZG ZILLOW GROUP INCORPORATED 4 B A B C N/A N/A 931,389 9,964,802
BDC BELDEN INCORPORATED 7 D A B C 0.37 15.1 368,321 2,535,291
IMXI INTERNATIONAL MONEY EXPRESS INCORPORATED 10 A A C C N/A N/A 155,708 548,095
EVTC EVERTEC INCORPORATED 7 A A D D 0.62 26.7 260,697 2,391,403
HWC HANCOCK WHITNEY CORPORATION 6 F A C C 2.68 10.1 558,265 3,386,797
GSVC GSV CAPITAL CORPORATION 7 C A F A N/A 15.1 77,158 129,645
INT WORLD FUEL SERVICES CORPORATION 9 A A A C 1.11 18.2 357,895 2,419,054
BITA BITAUTO HOLDINGS LIMITED 5 F A C C N/A N/A 992,374 811,778
VRS VERSO CORPORATION 7 D A A C N/A 2.9 211,881 618,291
NWPX NORTHWEST PIPE COMPANY 9 A A B C N/A 9.3 21,418 247,756
GBCI GLACIER BANCORP INCORPORATED 7 C A D D 2.76 17.3 208,669 3,407,245
PFBC PREFERRED BANK 6 F A C C 2.36 10.6 73,590 761,140
CDMO AVID BIOSERVICES INCORPORATED 4 D A D C N/A N/A 609,567 341,880
DECK DECKERS OUTDOOR CORPORATION 7 A A C D N/A 19.3 362,835 5,201,556

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