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Displaying 161 - 180 stocks of 4532 found.
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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)
CTT CATCHMARK TIMBER TRUST INCORPORATED 9 A D A C 3 204,418 521,424
INFO IHS MARKIT LIMITED 7 A C D N/A 0 4 1,208,643 27,391,490
AVXL ANAVEX LIFE SCIENCES CORPORATION 4 A D N/A C 0 346,774 145,843
CLCT COLLECTORS UNIVERSE INCORPORATED 9 A B C C 2 3 64,828 260,220
XEL XCEL ENERGY INCORPORATED 7 A C D D 2 3 2,438,039 32,615,647
LIN LINDE PUBLIC LIMITED COMPANY 9 A B D N/A 2 3 1,731,103 105,009,996
WM WASTE MANAGEMENT INCORPORATED 9 A B C C 2 3 1,531,022 49,355,151
TWNK GORES HOLDINGS INCORPORATED 8 A C C F 0 3 950,962 1,480,794
SBUX STARBUCKS CORPORATION 7 A C C D 2 4 5,030,295 103,372,920
WTM WHITE MOUNTAINS INSURANCE GROUP LIMITED 7 A C D C 1 2 24,081 3,415,913
CSGP COSTAR GROUP INCORPORATED 8 A B F C 0 4 281,633 22,445,476
MRVL MARVELL TECHNOLOGY GROUP LIMITED 6 A B D D 1 7,345,220 16,034,680
GSHD GOOSEHEAD INSURANCE INCORPORATED 4 A C F F 0 4 116,300 711,490
FOR FORESTAR GROUP INCORPORATED 9 A A D C 0 2 121,204 881,225
ERIE ERIE INDEMNITY COMPANY 8 A A C D 2 4 160,972 8,540,346
ONCE SPARK THERAPEUTICS INCORPORATED 2 A F F C 0 435,043 3,840,518
TNET TRINET GROUP INCORPORATED 5 A D B D 0 3 479,517 4,128,263
FNV FRANCO-NEVADA CORPORATION 7 A B F C 2 4 492,867 17,332,828
AMP AMERIPRISE FINANCIAL INCORPORATED 10 A C A C 2 2 955,952 18,095,395
EPD ENTERPRISE PRODUCTS PARTNERS LIMITED PARTNE 9 A B B C 3 2 3,645,957 60,372,785

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