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Displaying 1 - 20 stocks of 4596 found.
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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)
DIT AMCON DISTRIBUTING COMPANY 10 N/A B A N/A 0.75 13.4 79 57,189
CRD.A CRAWFORD & COMPANY 10 A C A A N/A 22.9 58,494 541,302
CMI CUMMINS INCORPORATED 10 A B B C 3.10 11.2 1,046,585 26,945,306
MCY MERCURY GENERAL CORPORATION 10 A B B C 3.96 20.5 273,684 3,560,305
TEX TEREX CORPORATION 10 D A A A 1.49 N/A 851,531 2,181,568
TKR THE TIMKEN COMPANY 10 A B B C 2.34 12.1 609,544 3,681,924
WSO WATSCO INCORPORATED 10 C A A C 4.01 25.1 144,859 6,207,494
WTS WATTS WATER TECHNOLOGIES INCORPORATED 10 A A C C 1.01 24.2 171,195 2,553,202
WIRE ENCORE WIRE CORPORATION 10 A C A C 0.15 14.4 55,736 1,160,035
BPOP POPULAR INCORPORATED 10 B B A C 2.20 8.1 420,706 5,448,958
RIO RIO TINTO PUBLIC LIMITED COMPANY 10 A N/A B C 5.91 7.7 1,868,344 83,450,266
AN AUTONATION INCORPORATED 10 B B A A N/A 9.6 442,282 3,741,425
MFC MANULIFE FINANCIAL CORPORATION 10 B B A C 4.03 N/A 1,884,884 36,133,231
ABG ASBURY AUTOMOTIVE GROUP INCORPORATED 10 A B A C N/A 9.9 108,869 1,639,638
AIZ ASSURANT INCORPORATED 10 B B A C 2.15 24.2 346,677 6,860,111
LPL LG DISPLAY COMPANY LIMITED 10 C A A C N/A N/A 261,424 5,138,238
BCML BAYCOM CORPORATION 10 D A A A N/A 16.1 13,590 255,744
GLP GLOBAL PARTNERS LIMITED PARTNERSHIP 10 B A A C 10.23 6.5 74,027 755,596
CODI COMPASS DIVERSIFIED HOLDINGS 10 B B B A 7.38 14.9 243,872 1,371,025
IESC IES HOLDINGS INCORPORATED 10 B B A A N/A 15.5 11,766 394,667

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