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Ticker Company Overall Score Tech. Grade Fund. Gradesort descending Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
SRDX SURMODICS INCORPORATED 4 F A D D 0 4 45,373 573,502
AKG ASANKO GOLD INCORPORATED 5 A A F C 0 4 245,902 206,024
HABT THE HABIT RESTAURANTS INCORPORATED 7 D A B C 0 4 367,500 167,708
CTVA CORTEVA INCORPORATED 7 F A B A 2 4,639,592 19,965,487
MBRX MOLECULIN BIOTECH INCORPORATED 4 C A N/A N/A 0 106,058 45,649
FBM FOUNDATION BUILDING MATERIALS INCORPORATED 8 A A A C 0 466,972 735,129
AMGN AMGEN INCORPORATED 6 D A D D 2 2 1,874,445 120,419,961
AKAM AKAMAI TECHNOLOGIES INCORPORATED 8 A A D C 0 4 979,878 14,774,228
SPTN SPARTANNASH COMPANY 7 F A A C 3 4 472,813 450,178
COUP COUPA SOFTWARE INCORPORATED 5 A A F D 0 2,225,253 9,885,204
SKX SKECHERS USA INCORPORATED 7 A A B F 0 2 1,411,900 4,889,937
GTE GRAN TIERRA ENERGY INCORPORATED 7 F A B A 0 1 2,741,306 422,495
CKH SEACOR HOLDINGS INCORPORATED 7 B A B D 0 3 117,925 951,722
PSTV PLUS THERAPEUTICS INCORPORATED 4 B A D N/A 0 204,643 8,022
ARAV ARAVIVE INCORPORATED 3 B A F C 0 22,740 76,625
TTEC TTEC HOLDINGS INCORPORATED 9 A A B D 2 4 117,861 2,114,977
CF CF INDUSTRIES HOLDINGS INCORPORATED 6 B A C F 2 3 1,785,048 11,051,662
ARTL ARTELO BIOSCIENCES INCORPORATED 4 F A N/A A 0 13,920 6,736
HURN HURON CONSULTING GROUP INCORPORATED 8 A A C D 0 4 133,768 1,394,925
UDR UDR INCORPORATED 7 A A F F 2 4 1,512,403 14,059,344

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