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Displaying 101 - 120 stocks of 4590 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)
FLT FLEETCOR TECHNOLOGIES INCORPORATED 8 A B F C 0 4 729,432 25,288,253
BYFC BROADWAY FINANCIAL CORPORATION 7 A B D C 0 4 8,944 31,724
IEX IDEX CORPORATION 9 A A D D 2 4 395,730 12,960,735
SAM BOSTON BEER COMPANY INCORPORATED 7 A B C C 0 4 231,819 3,576,273
TPX TEMPUR SEALY INTERNATIONAL INCORPORATED 7 A B C D 0 4 694,039 4,302,194
SLGN SILGAN HOLDINGS INCORPORATED 9 A C B D 2 2 278,647 3,336,392
PEP PEPSICO INCORPORATED 8 A B C D 2 2 4,270,561 190,766,315
HUBS HUBSPOT INCORPORATED 5 A A F D 0 793,943 6,974,675
CERN CERNER CORPORATION 7 A B C F 2 4 1,891,334 21,603,033
UHT UNIVERSAL HEALTH REALTY INCOME TRUST 6 A N/A F C 2 4 51,351 1,343,784
TRU TRANSUNION 7 A B D D 1 4 1,300,536 14,982,684
CRH CRH PUBLIC LIMITED COMPANY 10 A N/A A C 2 2 424,947 28,050,399
IAC IAC/INTERACTIVECORP 7 A C C D 0 4 648,292 17,852,162
MCO MOODY'S CORPORATION 7 A A F F 1 4 839,800 40,163,376
CUTR CUTERA INCORPORATED 4 A D C C 0 118,024 404,213
CHTR CHARTER COMMUNICATIONS INCORPORATED 6 A F C C 0 4 1,080,719 94,243,319
NOA NORTH AMERICAN CONSTRUCTION GROUP LIMITED 8 A A B C 1 2 165,971 330,543
ADSW ADVANCED DISPOSAL SERVICES 8 A D C C 0 688,783 2,893,912
CDLX CARDLYTICS INCORPORATED 4 A A D F 0 1,050,405 861,698
RKDA ARCADIA BIOSCIENCES INC 4 A A F A 0 951,591 49,628

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