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Displaying 61 - 80 stocks of 4590 found.
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Ticker Company Overall Score Tech. Grade Fund. Grade Valu. Gradesort descending Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
CREG CHINA RECYCLING ENERGY CORPORATION 2 F F A N/A N/A N/A 79,672 4,816
IBA INDUSTRIAS BACHOCO SAB DE CV 7 C F A N/A 1.72 21.8 2,591 2,605,500
ABM ABM INDUSTRIES INCORPORATED 6 A C A D 1.87 29.9 269,164 2,693,471
RMR THE RMR GROUP INCORPORATED 4 F D A C 3.13 9.8 145,825 702,107
UFS DOMTAR CORPORATION 6 D D A C 5.43 7.4 881,774 2,219,193
WCG WELLCARE HEALTH PLANS INCO 6 C C A C N/A 26.7 420,434 13,886,112
SPTN SPARTANNASH COMPANY 5 F B A C 6.66 11.3 392,265 362,051
MOV MOVADO GROUP INCORPORATED 5 F C A C 3.50 9.4 168,049 403,344
HMC HONDA MOTOR COMPANY LIMITED 7 D D A C 4.51 8.5 911,801 43,365,586
ASIX ADVANSIX INCORPORATED 7 D C A B N/A 10.9 189,539 640,324
GME GAMESTOP CORPORATION 4 F B A C 45.78 N/A 4,414,070 367,146
JBLU JETBLUE AIRWAYS CORPORATION 8 B C A D N/A 12.9 3,503,766 5,762,393
CPS COOPER STANDARD HOLDINGS INCO 6 F C A A N/A 3.9 291,128 639,572
MSL MIDSOUTH BANCORP INCORPORATED 5 D F A C 0.38 N/A 97,737 184,576
CATO THE CATO CORPORATION 6 F B A C 9.97 11.4 147,788 304,369
EZPW EZCORP INCORPORATED 7 D C A C N/A 164.8 365,703 454,434
CDW CDW CORPORATION 9 A A A F 1.06 24.3 921,286 16,603,152
MYRG MYR GROUP INCORPORATED 6 C C A C N/A 14.3 86,786 473,855
BTU PEABODY ENERGY CORPORATION 7 F C A A 3.02 4.6 1,265,945 1,878,268
HAYN HAYNES INTERNATIONAL INCORPORATED 9 C B A C 2.98 62.8 78,398 364,629

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