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Ticker Company Overall Score Tech. Gradesort descending Fund. Grade Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
STRA STRATEGIC EDUCATION INCORPORATED 5 A D D D 1.11 N/A 198,538 3,969,292
FLY FLY LEASING LIMITED 8 A B D N/A N/A 4.5 147,784 561,744
BOOM DMC GLOBAL INCORPORATED 5 A B C D 0.13 22.7 301,069 973,426
CSGS CSG SYSTEMS INTERNATIONAL INCORPORATED 9 A A C C 1.84 22.4 154,194 1,621,703
SON SONOCO PRODUCTS COMPANY 9 A B B C 2.70 20.8 344,754 6,519,063
BOOT BOOT BARN HOLDINGS INCORPORATED 5 A B B D N/A 24.1 575,872 1,004,937
RARX RA PHARMACEUTICALS INCORPORATED 4 A C F D N/A N/A 452,763 1,398,960
DTE DTE ENERGY COMPANY 8 A C C C 2.91 20.4 716,269 34,270,026
ENSG THE ENSIGN GROUP INCORPORATED 7 A B C D 0.33 32.6 226,363 3,048,720
ERIE ERIE INDEMNITY COMPANY 9 A B D C 1.37 46.4 140,651 12,326,001
YY YY INCORPORATED 8 A B B C N/A 7.3 890,950 4,342,307
CSGP COSTAR GROUP INCORPORATED 6 A D F C N/A 78.3 263,644 21,455,266
PG THE PROCTER & GAMBLE COMPANY 8 A A D F 2.57 27.5 6,018,022 288,432,867
CTLT CATALENT INCORPORATED 10 A B C A N/A 50.2 610,516 7,787,010
VISI VOLT INFORMATION SCIENCES INCORPORATED 5 A F A C N/A N/A 26,249 94,606
QIWI QIWI PUBLIC LIMITED COMPANY 9 A A B C 5.65 21.8 179,558 987,376
MTRN MATERION CORPORATION 9 A A B D 0.70 48.6 123,020 1,303,534
ORCL ORACLE CORPORATION 8 A A D F 1.66 19.7 13,777,550 199,515,275
UTI UNIVERSAL TECHNICAL INSTITUTE INCORPORATED 9 A D A C N/A N/A 13,248 95,104
MACK MERRIMACK PHARMACEUTICALS INCORPORATED 8 A C N/A A N/A N/A 49,339 75,788

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