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Displaying 141 - 160 stocks of 4531 found.
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Ticker Company Overall Scoresort descending Tech. Grade Fund. Grade Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
JOB GEE GROUP INCORPORATED 1 F F B N/A 0 10,286 10,532
NAVB NAVIDEA BIOPHARMACEUTICALS INCORPORATED 1 F D F N/A 0 21,224 12,641
HDSN HUDSON TECHNOLOGIES INCORPORATED 1 F D C C 0 213,936 27,110
NVAX NOVAVAX INCORPORATED 1 F C F D 0 428,427 109,084
TTNP TITAN PHARMACEUTICALS INCORPORATED 1 F F D N/A 0 3,057,591 6,769
OGEN ORAGENICS INCORPORATED 1 F D N/A N/A 0 336,807 19,834
INPX INPIXON 1 F C D N/A 0 4,776,861 6,158
OBE OBSIDIAN ENERGY LIMITED 1 F D C C 0 248,232 48,775
WWR WESTWATER RESOURCES INCORPORATED 1 F C N/A N/A 0 106,462 5,313
PLX PROTALIX BIOTHERAPEUTICS INCORPORATED 1 F D C N/A 0 299,396 26,709
CUR NEURALSTEM INCORPORATION 1 F C F N/A 0 70,047 3,034
FTR FRONTIER COMMUNICATIONS CORPORATION 1 F D C C 0 1,344,698 103,938
VTGN VISTAGEN THERAPEUTICS INCORPORATED 1 F F N/A N/A 0 185,627 45,180
MLNT MELINTA THERAPEUTICS INCORPORATED 1 F F C C 0 285,512 52,391
CORV CARDIOME PHARMA CORPORATION 1 F F D C 0 91,899 86,365
EROS EROS INTERNATIONAL PUBLIC LIMITED COMPANY 1 F F C N/A 0 5,823,459 129,045
PLXP PLX PHARMA INCORPORATED 1 C F F N/A 0 10,439 42,416
AAC AAC HOLDINGS INCORPORATED 1 F F C C 0 476,044 8,577
TCON TRACON PHARMACEUTICALS INCORPORATED 1 F D N/A C 0 183,608 9,520
RTTR RITTER PHARMACEUTICALS INCORPORATED 1 F C N/A C 0 5,392,599 2,885

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