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Displaying 21 - 40 stocks of 4590 found.
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Ticker Company Overall Score Tech. Grade Fund. Grade Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)sort ascending
UNH UNITEDHEALTH GROUP INCORPORATED 7 C C A D 1.76 18.4 3,582,260 235,621,927
RDS.B ROYAL DUTCH SHELL PUBLIC LIMITED COMPANY 5 D F A C 6.77 11.2 3,041,689 232,600,879
RDS.A ROYAL DUTCH SHELL 7 D D A C 6.77 11.2 4,333,396 232,600,879
CVX CHEVRON CORPORATION 8 B C B B 4.11 15 7,228,828 232,404,332
HD HOME DEPOT INCORPORATED 8 B C B C 2.67 20.5 3,576,545 231,597,455
VZ VERIZON COMMUNICATIONS 6 C C C C 4.25 14.8 13,961,101 230,692,916
KO THE COCA COLA COMPANY 6 A B F C 2.94 33 15,420,751 228,425,309
CSCO CISCO SYSTEMS INCORPORATED 9 A B C C 2.98 18.1 23,633,210 224,438,779
MRK MERCK & COMPANY INCORPORATED 8 A A D D 2.59 23.8 9,888,957 218,963,184
TM TOYOTA MOTOR CORPORATION 8 A F A C 3.40 10.9 201,797 215,267,104
TSM TAIWAN SEMICONDUCTOR MANUFACTURING COMPANY 7 B C D C 3.06 19.7 6,417,768 214,755,283
WFC WELLS FARGO & COMPANY 7 D B C C 4.60 9.2 22,955,492 214,625,194
INTC INTEL CORPORATION 7 B B C D 2.71 10.8 29,909,904 203,691,400
PFE PFIZER INCORPORATED 6 D C C F 4.16 15.7 30,119,240 201,053,595
CMCSA COMCAST CORPORATION 8 A C C C 1.95 16.5 18,886,692 194,710,689
BA THE BOEING COMPANY 6 C D B C 2.49 38.8 4,081,709 189,942,761
PEP PEPSICO INCORPORATED 8 A B C D 2.90 14.6 5,022,806 179,804,662
ORCL ORACLE CORPORATION 7 A A D F 1.79 18 13,259,030 179,800,590
CHL CHINA MOBILE LIMITED 6 F N/A A C 4.63 10.8 1,182,285 169,283,125
MCD MCDONALD S CORPORATION 6 A B F D 2.12 28.7 3,571,638 167,951,041

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