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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)
POST POST HOLDINGS INCORPORATED 9 B B B C N/A 14.9 591,939 6,441,035
MANU MANCHESTER UNITED PUBLIC LIMITED COMPANY 9 C A B N/A 1.04 3.5 58,894 745,678
ERA ERA GROUP INCORPORATED 9 B A C A N/A 2.4 100,563 218,926
FOXA TWENTY FIRST CENTURY FOX INCORPORATED 9 A C B C 0.73 18.7 13,347,008 91,439,890
NWSA NEWS CORPORATION 9 C A B C 1.62 N/A 3,132,988 7,675,133
CDW CDW CORPORATION 9 A B A D 1.29 20.8 1,314,802 13,900,610
PAH PLATFORM SPECIALTY PRODUCTS CORPORATION 9 A B C A N/A N/A 2,215,254 3,393,644
SC SANTANDER CONSUMER USA HOLDINGS INCORPORATE 9 A A D C 4.33 4.8 1,560,584 6,989,377
CBPX CONTINENTAL BUILDING PRODUCTS INCORPORATED 9 A A C B N/A 12.9 495,097 1,052,944
FWONK LIBERTY MEDIA CORPORATION 9 B A C C N/A 15 1,450,784 20,755,073
UNVR UNIVAR 9 B B A A N/A 13.9 1,246,770 3,067,792
MCRN MILACRON HOLDINGS CORPORATION 9 A A B C N/A 22.6 298,334 1,007,717
USFD US FOODS HOLDING CORPORATION 9 C B A B N/A 12.5 2,391,942 7,210,246
ZTO ZTO EXPRESS (CAYMAN) INCORPORATED 9 B A C C N/A 17.5 1,418,168 9,971,058
CADE CADENCE BANCORPORATION 9 B B C A 3.05 11.2 1,121,583 1,715,149
OMP OASIS MIDSTREAM PARTNERS LIMITED PARTNERSHI 9 C A C A 8.38 18.8 85,829 277,647
HUD HUDSON LIMITED 9 B B A N/A N/A 189.6 293,004 817,924
EQH AXA EQUITABLE HOLDINGS INCORPORATED 9 C B A C 3.00 7.3 5,984,688 11,002,025
AIMT AIMMUNE THERAPEUTICS INCORPORATED 9 B B N/A A N/A N/A 661,035 1,394,861
FLOW SPX FLOW INCORPORATED 9 A B B C N/A 13.8 360,587 1,596,977

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