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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)
VSH VISHAY INTERTECHNOLOGY INCORPORATED 7 D B A C 2.37 6.7 1,139,847 2,088,294
VOYA VOYA FINANCIAL INCORPORATED 10 A B A B 0.07 18.6 973,206 8,156,589
ARW ARROW ELECTRONICS INCORPORATED 7 C C A C N/A 8.2 476,315 5,841,513
GSM FERROGLOBE PUBLIC LIMITED COMPANY 2 F F A N/A 14.29 N/A 337,779 280,744
ZUMZ ZUMIEZ INCORPORATED 8 C A A C N/A 12.6 352,274 642,753
MTW THE MANITOWOC COMPANY INCORPORATED 7 C B A C N/A N/A 260,379 628,795
BK BANK OF NEW YORK MELLON CORPORATION 8 D B A C 2.50 11.7 4,287,118 41,709,441
HA HAWAIIAN HOLDINGS INCORPORATED 7 D B A C 1.74 5.7 621,914 1,327,483
BBVA BANCO BILBAO VIZCAYA ARGENTARIA SA 8 C C A C 6.64 6.7 3,063,133 35,706,745
IDT IDT CORPORATION 3 A B A C N/A 25.2 188,294 278,178
SYNA SYNAPTICS INCORPORATED 7 F A A C N/A 49 373,777 1,070,473
WCG WELLCARE HEALTH PLANS INCO 7 C C A C N/A 28.7 437,663 14,710,721
FORTY FORMULA SYSTEMS 1985 LIMITED 9 N/A C A N/A 0.86 24.5 673 783,029
DIT AMCON DISTRIBUTING COMPANY 10 N/A B A N/A 0.75 13.3 79 57,189
PARR PAR PACIFIC HOLDINGS INCORPORATED 7 C C A C N/A 13.6 284,125 1,106,947
VISI VOLT INFORMATION SCIENCES INCORPORATED 5 A F A C N/A N/A 26,249 94,606
RYAM RAYONIER ADVANCED MATERIALS INCORPORATED 2 F F A C 6.09 4.7 1,407,258 346,349
SUN SUNOCO LIMITED PARTNERSHIP 9 B A A C 10.03 19.7 249,918 2,702,582
NTGR NETGEAR INCORPORATED 7 F A A C N/A N/A 200,802 825,405
UFS DOMTAR CORPORATION 9 C B A C 4.41 8.3 639,964 2,621,216

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