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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)
BCOV BRIGHTCOVE INCORPORATED 9 A B C C N/A N/A 178,947 466,621
HY HYSTE-YALE MATERIALS HANDLING 9 D A A B 2.20 28.4 120,712 735,623
MODN MODEL N INCORPORATED 9 A A D C N/A N/A 591,007 862,615
LIND LINDBLAD EXPEDITIONS HOLDINGS INCORPORATED 9 A B C C N/A 55.2 122,197 933,006
WIX WIX COM LIMITED 9 A A D N/A N/A N/A 383,441 7,401,165
JRVR JAMES RIVER GROUP HOLDINGS 9 B A C N/A 2.40 20.5 147,363 1,459,007
FSV FIRSTSERVICE CORPORATION 9 A B C N/A 0.58 N/A 38,743 4,167,338
MYFW FIRST WESTERN FINANCIAL INCORPORATED 9 B B B C N/A 17.7 1,886 112,734
SCPL SCIPLAY CORPORATION 9 F A A A N/A 7.2 274,125 238,787
DD DUPONT DE NEMOURS INCORPORATED 9 D A A N/A 1.82 55.6 4,754,870 51,468,077
FTI TECHNIPFMC PUBLIC LIMITED COMPANY 9 D A A N/A 2.19 N/A 3,703,818 10,938,809
LAUR LAUREATE EDUCATION INCORPORATED 9 B A B C N/A 4 1,647,076 1,886,532
ARCH ARCH COAL INCORPORATED 9 D A A C 2.34 4.3 327,655 1,237,213
FCBP FIRST CHOICE BANCORP 9 D B A A 3.65 11.1 14,650 247,885
UPLD UPLAND SOFTWARE INCORPORATED 9 A A D C N/A N/A 450,076 1,054,354
WH WYNDHAM HOTELS & RESORTS INCORPORATED 9 B B C A 2.32 33.3 752,875 5,256,454
EVTC EVERTEC INCORPORATED 9 A A D C 0.57 27 401,699 2,490,936
CDW CDW CORPORATION 9 A A A F 1.06 24.3 921,286 16,603,152
TPRE THIRD POINT REINSURANCE LIMITED 9 D A A N/A N/A N/A 489,458 940,370
CNHI CNH INDUSTRIAL NV 9 D A A N/A 2.29 15.2 1,598,973 12,470,616

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