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Displaying 121 - 140 stocks of 4655 found.
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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)
ENIA ENEL AMERICAS SA 0 D N/A N/A C 1.57 14.6 2,465,708 9,082,150
INVH INVITATION HOMES INCORPORATED 6 B N/A F C 2.17 N/A 2,197,961 12,430,382
GNPX GENPREX INC 0 F N/A N/A C N/A N/A 268,157 31,653
CHSCP CHS INC 9 B N/A A N/A 6.93 N/A 13,607 2,461,525
TAK TAKEDA PHARMACEUTICAL COMPANY LIMITED 0 C N/A N/A N/A N/A 30.9 1,873,282 33,544,003
BL BLACKLINE INCORPORATED 4 B N/A F F N/A N/A 641,893 2,611,509
SECO SECOO HOLDING LIMITED 3 B N/A A C N/A 9 109,744 325,528
VISI VOLT INFORMATION SCIENCES INCORPORATED 4 B N/A A A N/A N/A 75,918 94,088
BT BT GROUP PUBLIC LIMITED COMPANY 7 C N/A B C 3.97 9.7 2,011,947 30,340,737
CHNR CHINA NATURAL RESOURCES INCORPORATED 0 C N/A N/A N/A N/A N/A 3,902 42,100
ORPN BIOBLAST PHARMA LIMITED 0 B N/A N/A N/A N/A N/A 26,250 4,502
ETTX ENTASIS THERAPEUTICS HOLDINGS INCORPORATED 0 C N/A N/A C N/A N/A 3,302 91,700
NFE NEW FORTRESS ENERGY LLC 0 N/A N/A C A N/A N/A 445,563 205,600
FSNN FUSION CONNECT INCORPORATED 0 F N/A N/A C N/A N/A 167,511 124,812
HLTH NOBILIS HEALTH CORPORATION 0 F N/A N/A C N/A 21.1 73,233 30,518
CEL CELLCOM ISRAEL LIMITED 5 F N/A B N/A N/A N/A 6,535 509,337
PAM PAMPA ENERGIA SA 3 F N/A B C N/A 60.9 327,069 2,089,287
VOD VODAFONE GROUP PUBLIC LIMITED COMPANY 6 F N/A B C 5.65 N/A 5,006,620 50,661,784
PSO PEARSON PUBLIC LIMITED COMPANY 6 D N/A B C 3.06 11.5 229,479 9,059,619
THM INTERNATIONAL TOWER HILL MINES LIMITED 0 C N/A N/A C N/A N/A 168,120 106,585

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