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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)
AKER AKERS BIOSCIENCES INCORPORATED 3 F C A C N/A N/A 587,860 5,257
IBA INDUSTRIAS BACHOCO SAB DE CV 8 B D A N/A 1.68 22 5,301 2,555,500
BLBD BLUE BIRD CORPORATION 7 C C A C N/A 17.9 63,170 484,511
MAN MANPOWERGROUP 9 B C A C 2.57 10.7 321,693 5,083,408
CBS.A CBS CORPORATION 8 D C A C N/A 5.6 40,751 16,449,636
VALE VALE SA 5 D F A C N/A 17.9 20,557,716 35,002,973
HMC HONDA MOTOR COMPANY LIMITED 8 C D A C 4.53 8.5 796,384 42,242,501
EQH AXA EQUITABLE HOLDINGS INCORPORATED 10 C B A A 2.92 11.1 2,475,318 9,940,836
Z ZILLOW GROUP INCORPORATED 5 A D A D N/A N/A 3,422,249 7,183,886
RBS ROYAL BANK OF SCOTLAND GROUP PUBLIC LIMITED 6 D C A C 2.14 7.7 1,682,588 26,902,982
PRTA PROTHENA CORPORATION PUBLIC LIMITED COMPANY 8 C A A N/A N/A N/A 150,051 309,202
AUTO AUTOWEB INCORPORATED 5 B F A C N/A N/A 58,046 30,567
HSBC HSBC HOLDINGS PUBLIC LIMITED COMPANY 8 C C A C 5.53 22.2 6,065,599 147,976,200
RAIL FREIGHTCAR AMERICA INCORPORATED 5 F C A C N/A N/A 83,942 52,452
SSY SUNLINK HEALTH SYSTEMS INCORPORATED 7 C D A N/A N/A N/A 1,294 10,061
CATO THE CATO CORPORATION 7 D B A C 8.07 11.9 164,654 304,599
KE KIMBALL ELECTRONICS INCORPORATED 8 D C A C N/A 11.9 49,314 363,492
FF FUTUREFUEL CORPORATION 5 F F A C 2.21 22.8 94,145 471,987
BHGE BAKER HUGHES A GE COMPANY 6 D B A B 3.36 57.4 5,310,880 10,874,794
FTEK FUEL TECH INCORPORATED 4 B D A A N/A N/A 112,994 21,529

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