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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)
SPNS SAPIENS INTERNATIONAL CORPORATION NV 10 A A C N/A 1.20 54 187,098 893,178
NHC NATIONAL HEALTHCARE CORPORATION 8 A C B C 2.53 16.9 30,402 1,282,200
OTEX OPEN TEXT CORPORATION 9 A A D C 1.82 36.3 635,333 10,376,561
GWR GENESEE & WYOMING INCORPORATED 8 A C C C N/A 29.8 1,725,144 6,211,648
OUT OUTFRONT MEDIA INCORPORATED 7 A C D C 5.27 24.4 1,430,701 3,993,508
IDT IDT CORPORATION 3 A B A C N/A 20.3 71,996 213,204
EDU NEW ORIENTAL EDUCATION & TECHNOLOGY GROUP I 5 A C D C N/A 70.2 1,284,271 16,478,473
UL UNILEVER PUBLIC LIMITED COMPANY 8 A N/A C C 2.90 15.3 645,676 75,544,279
JJSF J & J SNACK FOODS CORPORATION 8 A B C D 1.03 39.7 82,779 3,512,528
GNE GENIE ENERGY LIMITED 4 A D A A 4.20 11.9 534,706 207,521
TSS TOTAL SYSTEM SERVICES INCORPORATED 8 A C D C 0.41 37.5 1,092,209 22,842,421
STWD STARWOOD PROPERTY TRUST INCORPORATED 6 A C F C 8.18 17.5 2,089,472 6,665,541
CLAR CLARUS CORPORATION 9 A C B C 0.94 29.7 443,904 329,923
AMT AMERICAN TOWER CORPORATION 6 A A F F 1.65 67.6 1,743,397 98,377,888
KEYS KEYSIGHT TECHNOLOGIES INCORPORATED 6 A A C D N/A 59.9 1,161,124 16,444,264
JBSS JOHN B SANFILIPPO & SON 10 A B B C 0.74 27.6 62,847 699,931
MOBL MOBILE IRON INCORPORATED 5 A C C D N/A N/A 1,562,392 749,920
AON AON PUBLIC LIMITED COMPANY 9 A A D N/A 0.92 32.8 931,239 44,675,550
ACST ACASTI PHARMA INCORPORATED 4 A C N/A N/A N/A N/A 2,259,449 172,807
MORN MORNINGSTAR INCORPORATED 7 A C D D 0.72 38.4 74,851 6,622,278

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