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Displaying 121 - 140 stocks of 4581 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 C N/A N/A 5,219 10,252
IMGN IMMUNOGEN INCORPORATED 1 F F D C N/A N/A 2,890,086 357,379
FGP FERRELLGAS PARTNERS LIMITED PARTNERSHIP 1 F D C C 40.92 N/A 120,754 99,096
YVR LIQUID MEDIA GROUP LIMITED 1 D N/A D N/A N/A N/A 12,386 7,628
MBOT MICROBOT MEDICAL INCORPORATED 1 C F N/A C N/A N/A 11,658 22,057
MAXR MAXAR TECHNOLOGIES LIMITED 1 F F C N/A 0.43 N/A 3,924,071 583,913
NYNY EMPIRE RESORTS INCORPORATED 1 C F D C N/A N/A 6,109 356,519
LJPC LA JOLLA PHARMACEUTICAL COMPANY 1 F C F C N/A N/A 392,425 259,879
IDRA IDERA PHARMACEUTICALS INCORPORATED 1 F B F C N/A N/A 161,139 73,137
ZN ZION OIL AND GAS INCORPORATED 1 F D N/A C N/A N/A 460,893 24,121
AREX APPROACH RESOURCES INCORPORATED 1 F D D C N/A N/A 1,222,636 30,733
SLS SELLAS LIFE SCIENCES GROUP INCORPORATED 1 F D N/A C N/A N/A 99,411,678 5,848
TRNX TARONIS TECHNOLOGIES INCORPORATED 1 F D C C N/A N/A 23,147,088 6,359
TENX TENAX THERAPEUTICS INCORPORATED 1 F C N/A N/A N/A N/A 23,997 8,484
LLEX LILIS ENERGY INCORPORATED 1 F D C C N/A N/A 395,290 56,084
HCR HI-CRUSH INCORPORATED 1 F F B C N/A 3.1 534,858 243,304
JASN JASON INDUSTRIES INCORPORATED 1 F F B C N/A N/A 33,935 18,540
KPTI KARYOPHARM THERAPEUTICS INCORPORATED 1 F F F C N/A N/A 15,171,768 536,212
CTRV CONTRAVIR PHARMACEUTICALS INCORPORATED 1 F D N/A N/A N/A N/A 513,048 3,108
SDPI SUPERIOR DRILLING PRODUCTS INCORPORATED 1 D F C C N/A N/A 53,884 24,659

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