StockScouter Screener

Displaying 1 - 20 stocks of 4581 found.
move slider from both sides
Ticker Company Overall Score Tech. Grade Fund. Gradesort descending Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
OSIS OSI SYSTEMS INCORPORATED 8 A A C F N/A 39.9 190,670 2,031,381
WPX WPX ENERGY INCORPORATED 6 D A C C N/A 19.2 6,005,298 4,615,378
WRLD WORLD ACCEPTANCE CORPORATION 9 A A C C N/A 39.2 74,678 1,272,726
AKRX AKORN INCORPORATED 4 F A C A N/A N/A 1,643,305 551,223
RARX RA PHARMACEUTICALS INCORPORATED 3 A A F C N/A N/A 303,820 888,786
PPDF PPDAI GROUP INCORPORATED 2 A A A C 4.76 3.1 694,292 818,232
FCPT FOUR CORNERS PROPERTY TRUST 8 A A F C 4.03 22.3 815,302 1,935,777
ENSV ENSERVCO CORPORATION 3 D A C A N/A N/A 45,036 23,657
CSII CARDIOVASCULAR SYSTEMS INCORPORATED 7 B A D C N/A 797 221,026 1,392,692
ENB ENBRIDGE INCORPORATED 9 A A C A 6.36 N/A 5,149,665 71,861,800
DAVE FAMOUS DAVES OF AMERICA INCORPORATED 5 D A C C N/A 8.7 31,555 41,177
CLF CLEVELAND-CLIFFS INCORPORATED 6 C A C B 2.50 2.5 9,157,621 2,709,655
WAL WESTERN ALLIANCE BANCORPORATION 6 D A D D N/A 10.1 833,922 4,570,694
YETI YETI HOLDINGS INCORPORATED 4 C A C F N/A 29.8 2,047,163 2,119,554
AT ATLANTIC POWER CORPORATION 10 A A C A N/A N/A 520,689 252,299
ICLR ICON PUBLIC LIMITED COMPANY 8 C A C N/A N/A 23.4 233,197 7,818,924
HMTV HEMISPHERE MEDIA GROUP INCORPORATED 10 A A C C N/A N/A 23,478 253,727
CLSN CELSION CORPORATION 4 C A F A N/A N/A 176,608 38,303
GLDD GREAT LAKES DREDGE & DOCK CORPORATION 7 A A B F N/A 33.5 562,498 683,107
UTSI UTSTARCOM HOLDINGS CORPORATION 10 B A B N/A N/A 111.4 15,036 108,779

Pages