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Displaying 1 - 20 stocks of 4534 found.
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Ticker Company Overall Score Tech. Gradesort descending Fund. Grade Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
MRVL MARVELL TECHNOLOGY GROUP LIMITED 6 A B D D 2 7,345,220 16,034,680
KN KNOWLES CORPORATION 6 A C C D 0 4 616,572 1,888,814
BKI BLACK KNIGHT INCORPORATED 7 A B F C 0 4 629,615 9,224,105
ERIE ERIE INDEMNITY COMPANY 8 A A C D 2 4 160,972 8,540,346
TACT TRANSACT TECHNOLOGIES INCORPORATED 7 A C C C 2 3 14,360 91,918
AVB AVALONBAY COMMUNITIES INCORPORATED 7 A A F D 2 4 566,747 30,456,399
BLL BALL CORPORATION 8 A C C C 1 4 1,756,439 24,106,738
CTG COMPUTER TASK GROUP INCORPORATED 9 A D A C 0 39,437 71,498
WING WINGSTOP INCO 6 A C F D 1 4 436,679 2,610,122
HAE HAEMONETICS CORPORATION 6 A B D F 0 4 252,646 6,525,468
BAND BANDWIDTH INCORPORATED 7 A A D D 0 4 414,915 1,108,056
CMLS CM WIND DOWN TOPCO LLC 5 A C C D 0 1 83,234 197,053
RARX RA PHARMACEUTICALS INCORPORATED 3 A B F D 0 6,064,894 2,188,078
WAIR WESCO AIRCRAFT HOLDINGS INCORPORATED 10 A B B C 0 3 628,587 1,097,239
FWONA LIBERTY MEDIA CORPORATION 7 A F C C 0 118,629 24,319,994
IR INGERSOLL-RAND PUBLIC LIMITED COMPANY 9 A C B C 2 3 1,244,452 27,873,154
O REALTY INCOME CORPORATION 7 A B F D 3 4 1,269,393 24,786,779
CQP CHENIERE ENERGY PARTNERS LIMITED PARTNERSHI 5 A F D C 3 2 256,568 15,388,396
OSIS OSI SYSTEMS INCORPORATED 8 A B C D 0 3 106,455 1,766,696
GNRC GENERAC HOLDINGS INCORPORATED 7 A B C D 0 3 1,237,625 5,145,149

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