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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)
LQDA LIQUIDIA TECHNOLOGIES INCORPORATED 3 F A D C 0 53,213 75,504
VG VONAGE HOLDINGS CORPORATION 7 A A C F 0 4 2,302,728 3,110,959
VVUS VIVUS INCORPORATED 4 B A D C 0 73,148 44,168
EXEL EXELIXIS INCORPORATED 5 B A D F 0 1 2,025,314 5,827,911
AVT AVNET INCORPORATED 9 B A A D 2 3 903,430 4,630,778
EAT BRINKER INTERNATIONAL INCORPORATED 7 F A B B 3 2 1,118,456 1,631,250
KWR QUAKER CHEMICAL CORPORATION 6 D A C D 1 4 141,099 2,255,723
QTNT QUOTIENT LIMITED 5 B A F D 0 809,674 581,179
BBQ FAMOUS DAVE S OF AMERICA INCORPORATED 5 C A C N/A 0 2 56,956 41,084
NCR NCR CORPORATION 7 A A B F 0 4 995,372 3,993,668
JCAP JERNIGAN CAPITAL INCORPORATED 6 D A F C 4 1 154,690 443,432
VJET VOXELJET AG 5 F A C N/A 0 86,201 48,542
PSTV PLUS THERAPEUTICS INCORPORATED 4 A A D N/A 0 70,607 4,209
V VISA INCORPORATED 9 A A F A 1 4 9,084,920 306,139,972
DNR DENBURY RESOURCES INCORPORATED 3 F A C D 0 1 20,555,202 572,986
MVC MVC CAPITAL INCORPORATED 6 C A F N/A 3 3 15,069 159,348
PBR PETROLEO BRASILEIRO SA PETROBRAS 10 C A A C 2 2 14,913,804 90,771,881
LYTS LSI INDUSTRIES INCORPORATED 7 C A B C 3 162,830 123,207
UFI UNIFI INCORPORATED 10 D A A A 0 4 153,009 441,356
ICLR ICON PUBLIC LIMITED COMPANY 9 B A C N/A 0 3 253,520 8,107,524

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