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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)
CAH CARDINAL HEALTH INCORPORATED 10 B B A C 4.32 261.9 2,447,142 13,409,719
CRD.A CRAWFORD & COMPANY 10 A C A A N/A 22.8 43,604 527,950
CMI CUMMINS INCORPORATED 10 A B B C 3.07 11.1 1,067,941 27,214,618
IPG INTERPUBLIC GROUP OF COMPANIES 10 B B A C 4.13 14.2 3,008,959 8,824,489
MCY MERCURY GENERAL CORPORATION 10 A B B C 4.01 20.1 207,647 3,494,435
WTS WATTS WATER TECHNOLOGIES INCORPORATED 10 A A C C 1.01 23.7 109,552 2,514,711
WIRE ENCORE WIRE CORPORATION 10 A C A C 0.15 14.2 63,077 1,144,364
BPOP POPULAR INCORPORATED 10 B B A C 2.20 8 530,718 5,307,853
MTH MERITAGE HOMES CORPORATION 10 A B B C N/A 10.4 282,642 2,078,118
AZZ AZZ INCORPORATED 10 B A B C 1.54 20.3 129,010 1,183,116
ABG ASBURY AUTOMOTIVE GROUP INCORPORATED 10 B B A C N/A 10 85,978 1,638,474
DKS DICKS SPORTING GOODS INCORPORATED 10 C A A C 2.94 11.5 1,428,424 2,507,537
CCK CROWN HOLDINGS INCORPORATED 10 A A A C N/A 18 2,102,253 8,058,383
BCML BAYCOM CORPORATION 10 C A A A N/A 15.7 11,133 238,535
GLP GLOBAL PARTNERS LIMITED PARTNERSHIP 10 A A A C 10.14 16.9 92,320 749,025
VIAB VIACOM INCORPORATED 10 A B A C 2.67 7.5 2,985,494 12,517,140
CODI COMPASS DIVERSIFIED HOLDINGS 10 A C B A 7.62 14.2 296,146 1,318,482
IESC IES HOLDINGS INCORPORATED 10 B B A A N/A 15.2 8,969 389,325
ALLT ALLOT LIMITED 10 A B B C N/A N/A 22,472 253,747
ACM AECOM 10 A B A C N/A 21.2 708,668 5,744,629

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