StockScouter Screener

Displaying 1 - 20 stocks of 4590 found.
move slider from both sides
Ticker Company Overall Score Tech. Grade Fund. Grade Valu. Grade Own. Gradesort descending Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
CWH CAMPING WORLD HOLDINGS INCORPORATED 4 F D A A 3.86 N/A 1,713,190 331,443
CKX CKX LANDS INCORPORATED 6 N/A F F A N/A 85.4 4,905 17,517
FGBI FIRST GUARANTY BANCSHARES INCORPORATED 6 C D A A 3.17 14.4 5,450 182,745
DMLP DORCHESTER MINERALS LIMITED PARTNERSHIP 7 C D D A 11.76 11 67,618 637,765
NVT NVENT ELECTRIC PUBLIC LIMITED COMPANY 6 D C C A 3.34 14.7 1,236,919 3,591,960
MORF MORPHIC HOLDING INCORPORATED 0 N/A N/A A A N/A N/A 75,109 809,267
RCKT ROCKET PHARMACEUTICALS INCORPORATED 4 D B N/A A N/A N/A 234,546 598,134
COT COTT CORPORATION 7 D D B A 1.93 N/A 1,389,395 1,704,834
KTB KONTOOR BRANDS INCORPORATED 3 C A B A 6.89 10.5 1,161,570 1,954,667
FOR FORESTAR GROUP INCORPORATED 7 C A D A N/A 10.6 27,174 795,562
RVP RETRACTABLE TECHNOLOGIES INCORPORATED 6 C C B A N/A N/A 13,595 24,013
JAGX JAGUAR HEALTH INCORPORATED 2 F F D A N/A N/A 455,469 14,382
OLN OLIN CORPORATION 7 C C B A 4.86 10.2 3,356,000 2,903,146
AMRX AMNEAL PHARMACEUTICALS 4 F C C A N/A N/A 3,127,568 372,919
CLBK COLUMBIA FINANCIAL INCORPORATED 6 D C F A N/A 32.8 232,103 1,774,844
VBIV VBI VACCINES INCORPORATED 2 F D F A N/A N/A 550,703 64,818
MGPI MGP INGREDIENTS INCORPORATED 5 D D C A 0.83 21.4 185,947 874,064
IMMR IMMERSION CORPORATION 4 D F D A N/A N/A 332,455 248,961
ENSV ENSERVCO CORPORATION 3 F D C A N/A N/A 60,042 20,095
UFI UNIFI INCORPORATED 9 F A A A N/A 151.5 116,207 328,868

Pages