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Ticker Company Overall Scoresort ascending Tech. Grade Fund. Grade Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
UAL UNITED AIRLINES HOLDINGS INCORPORATED 9 C B A C N/A 9.5 2,793,540 24,005,259
LQDT LIQUIDITY SERVICES INCORPORATED 9 B A B C N/A N/A 71,890 197,291
HOLI HOLLYSYS AUTOMATION TECHNOLOGIES LTD 9 B B B C 1.01 8.5 146,965 1,116,327
RILY B RILEY FINANCIAL INCORPORATED 9 B N/A C A 1.70 46 28,408 540,335
PRU PRUDENTIAL FINANCIAL INCORPORATED 9 B C A C 3.96 11.8 1,492,173 42,883,080
AYI ACUITY BRANDS INCORPORATED 9 C A B C 0.40 15.4 493,048 5,212,405
KT KT CORPORATION 9 C C A C 3.98 10.1 819,979 6,287,577
EPD ENTERPRISE PRODUCTS PARTNERS LIMITED PARTNE 9 C B B C 5.83 14.6 4,024,858 66,904,279
WLH WILLIAM LYON HOMES 9 B B B C N/A 8.2 218,173 644,412
TRCO TRIBUNE MEDIA COMPANY 9 A A C C 2.16 10.7 583,308 4,095,216
CRI CARTER'S INCORPORATED 9 B B B C 2.20 15.5 609,244 4,231,110
CHA CHINA TELECOM CORPORATION LIMITED 9 A B N/A C 3.34 12.7 42,682 6,637,560
CMCSA COMCAST CORPORATION 9 A C C C 1.91 16.8 17,125,728 202,190,005
GLDD GREAT LAKES DREDGE & DOCK CORPORATION 9 A A B D N/A 35.7 629,665 745,841
EIG EMPLOYERS HOLDINGS INCORPORATED 9 C B B C 2.01 8.7 122,362 1,401,313
AXS AXIS CAPITAL HOLDINGS LIMITED 9 A B B C 2.67 141.1 428,972 5,289,067
SNX SYNNEX CORPORATION 9 B A A D 1.57 11.7 395,862 4,906,265
MLNX MELLANOX TECHNOLOGIES LIMITED 9 A A D N/A N/A 42.4 485,257 6,139,780
EBAY EBAY INCORPORATED 9 A A C C 1.39 15.8 5,579,967 34,913,372
C CITIGROUP INCORPORATED 9 C A B C 2.88 9.9 11,572,132 169,802,748

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