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Ticker Company Overall Score Tech. Grade Fund. Gradesort descending 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 2.51 66.3 39,952 783,218
HNI HNI CORPORATION 9 D A A C 3.63 16.3 196,993 1,472,226
KW KENNEDY-WILSON HOLDINGS INCORPORATED 6 C A F D 4.07 20 234,953 2,955,911
VIVO MERIDIAN BIOSCIENCE INCO 7 D A C B N/A 17.7 198,310 493,644
PAYS PAYSIGN INCORPORATED 4 A A F N/A N/A 195.6 2,165,375 826,560
RCII RENT A CENTER INCORPORATED 10 A A A C N/A 40.6 804,314 1,408,315
CNSL CONSOLIDATED COMMUNICATIONS HOLDINGS INCORP 4 F A C A 34.43 N/A 932,020 356,885
KIM KIMCO REALTY CORPORATION 8 A A F C 6.17 18.9 2,692,428 8,360,436
PEN PENUMBRA 5 B A F D N/A 567.4 310,915 6,118,575
DGII DIGI INTERNATIONAL INCORPORATED 7 C A B D N/A 28.5 104,389 365,048
RNR RENAISSANCERE HOLDINGS LIMITED 9 A A A D 0.76 17.9 335,527 7,922,938
CVCY CENTRAL VALLEY COMMUNITY BANCORP 9 C A C A 2.10 12.9 11,374 275,445
ATNI ATN INTERNATIONAL INCORPORATED 7 C A C C 1.20 37.9 65,451 931,810
INVH INVITATION HOMES INCORPORATED 8 A A F C 1.92 441.1 3,364,662 14,190,507
YETI YETI HOLDINGS INCORPORATED 4 B A D C N/A 35.6 1,207,415 2,769,067
MRC MRC GLOBAL INCORPORATED 9 C A A C N/A 27.5 780,887 1,263,449
CARE CARTER BANK & TRUST 8 C A C N/A N/A 48.2 59,320 509,300
CTAS CINTAS CORPORATION 9 B A C C 0.79 32.5 1,012,254 26,963,643
WELL WELLTOWER INCORPORATED 8 A A F C 4.19 53.6 1,516,373 33,630,350
AIRG AIRGAIN INCORPORATED 5 A A C D N/A N/A 78,102 133,724

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