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Displaying 101 - 120 stocks of 4582 found.
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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)
H HYATT HOTELS CORPORATION 9 B A B D 0.98 20.3 392,547 2,964,875
ATU ACTUANT CORPORATION 9 C A B C 0.18 N/A 383,140 1,391,409
ICLR ICON PUBLIC LIMITED COMPANY 9 B A C N/A N/A 25 171,050 8,043,987
AA ALCOA CORPORATION 7 F A A C N/A N/A 3,427,441 4,193,091
CERC CERECOR INCORPORATED 4 A A F A N/A N/A 79,673 212,646
BAC BANK OF AMERICA CORPORATION 7 C A C C 2.04 10.5 33,376,388 291,852,310
GLP GLOBAL PARTNERS LIMITED PARTNERSHIP 10 A A A C 10.25 16.7 74,027 755,596
GM GENERAL MOTORS COMPANY 10 B A A C 3.85 6.3 5,766,654 55,615,150
AIN ALBANY INTERNATIONAL CORPORATION 10 A A C C 0.91 25 165,937 2,356,766
PVTL PIVOTAL SOFTWARE INCORPORATED 5 F A A D N/A N/A 2,728,876 1,018,937
BEN FRANKLIN RESOURCES INCORPORATED 9 B A B C 2.93 12 2,468,324 17,861,036
SAR SARATOGA INVESTMENT CORPORATION 7 C A F N/A 8.85 8.3 41,783 197,002
TTGT TECHTARGET INCORPORATED 4 D A D F N/A 44.9 115,300 590,278
FFIN FIRST FINANCIAL BANKSHARES INCORPORATED 8 B A F C 1.56 27.2 281,138 4,151,726
LLY ELI LILLY & COMPANY 7 B A D D 2.42 17 4,554,344 105,131,289
ICUI ICU MEDICAL INCORPORATED 7 C A C F N/A 98.7 111,457 5,128,763
KEYS KEYSIGHT TECHNOLOGIES INCORPORATED 8 A A C D N/A 61.2 1,399,891 17,193,184
MRC MRC GLOBAL INCORPORATED 9 C A A C N/A 27.7 786,272 1,399,679
EVOP EVO PAYMENTS INCORPORATED 6 C A C D N/A N/A 172,697 941,785
AVEO AVEO PHARMACEUTICALS INCORPORATED 2 F A F C N/A N/A 2,409,098 112,566

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