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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)
JYNT THE JOINT CORPORATION 9 A A D B N/A 149.6 166,354 219,733
JRVR JAMES RIVER GROUP HOLDINGS 9 A B B N/A 2.60 19.7 215,260 1,400,166
ROAD CONSTRUCTION PARTNERSHIP INCORPORATED 9 A A A C N/A 18.2 162,724 425,882
UNVR UNIVAR 9 D A A A N/A 63.6 1,557,224 3,591,360
GCI GANNETT COMPANY INCORPORATED 9 D A A C 7.83 272.3 1,158,200 956,242
MSG THE MADISON SQUARE GARDEN COMPANY 9 A C B C N/A 172.8 143,960 5,624,483
CSWI CSW INDUSTRIALS INCORPORATED 9 A B C C 0.82 22.6 70,216 1,019,621
PFGC PERFORMANCE FOOD GROUP COMPANY 9 A C A C N/A 24.4 322,715 4,270,511
HMTV HEMISPHERE MEDIA GROUP INCORPORATED 9 B A C C N/A N/A 16,707 251,955
QIWI QIWI PUBLIC LIMITED COMPANY 9 A A B C 5.47 22.2 366,364 938,985
TPRE THIRD POINT REINSURANCE LIMITED 9 D A A N/A N/A N/A 346,498 979,332
OXFD OXFORD IMMUNOTEC GLOBAL PLC 9 A A C N/A N/A 2.8 147,369 374,586
AAL AMERICAN AIRLINES INCORPORATED 9 D B A A 1.26 10.4 6,212,071 14,537,208
CCEP COCA COLA EUROPEAN PARTNERS PUBLIC LIMITED 9 A A B N/A 2.30 26.5 1,488,941 26,607,542
RNDB RANDOLPH BANCORP INCORPORATED 9 N/A A D A N/A N/A 24,134 87,806
KN KNOWLES CORPORATION 9 B A C C N/A 23.9 549,045 1,545,334
BLBD BLUE BIRD CORPORATION 9 C A A C N/A 14.7 76,796 511,394
RCM R1 RCM INCORPORATED 9 A B B C N/A N/A 831,783 1,282,983
AMRC AMERESCO INCORPORATED 9 B A B C N/A 19.1 91,588 434,850
NXPI NXP SEMICONDUCTORS NV 9 B A C N/A 1.02 14.5 3,001,107 29,875,816

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