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Ticker Company Overall Scoresort ascending Tech. Grade Fund. Grade Valu. Grade Own. Grade Div Yield PE Ratio Avg Daily Vol Mkt Cap ($000s)
PROV PROVIDENT FINANCIAL HOLDINGS INCORPORATED 9 A B D C 2.81 21.6 10,348 152,378
CAC CAMDEN NATIONAL CORPORATION 9 C B D A 2.81 12.6 23,976 668,004
GIFI GULF ISLAND FABRICATION INCORPORATED 9 C B A C N/A N/A 28,122 136,362
SKM SK TELECOM COMPANY LIMITED 9 B C B C 0.83 5.4 499,936 17,506,540
HIG THE HARTFORD FINANCIAL SERVICES GROUP INCOR 9 D A A C 2.36 10.3 1,360,708 18,423,090
BPOP POPULAR INCORPORATED 9 A A B D 2.11 9.4 605,535 5,284,093
ED CONSOLIDATED EDISON INCORPORATED 9 A C C A 3.54 19 1,288,738 27,643,369
NHC NATIONAL HEALTHCARE CORPORATION 9 B C B B 2.75 18.8 29,842 1,126,680
PKOH PARK OHIO HOLDINGS CORPORATION 9 C A A C 1.36 8.6 18,783 444,464
CTSH COGNIZANT TECHNOLOGY SOLUTIONS CORP 9 B A B D 1.12 19.8 2,107,525 42,724,105
EQC EQUITY COMMONWEALTH 9 A B D C N/A 14.8 547,753 4,102,304
INFY INFOSYS LIMITED 9 A C C C 1.83 20.6 16,496,609 45,857,147
IPAR INTER PARFUMS INCORPORATED 9 A B C C 1.48 43.2 117,503 2,341,800
COST COSTCO WHOLESALE CORPORATION 9 A C B C 0.93 31.6 1,799,923 106,428,966
UTSI UTSTARCOM HOLDINGS CORPORATION 9 C A B N/A N/A 26.3 20,593 120,959
MET METLIFE INCORPORATED 9 C B A C 3.71 9.2 4,459,469 45,302,146
HSTM HEALTHSTREAM INCORPORATED 9 B A C C N/A 27.1 81,220 921,762
SNN SMITH & NEPHEW PUBLIC LIMITED COMPANY 9 A N/A C C 2.32 25.1 399,701 17,430,576
SR SPIRE INCORPORATED 9 A C C C 2.91 24.8 125,619 4,162,202
CVX CHEVRON CORPORATION 9 B A B C 3.97 15.5 11,900,768 227,551,425

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