StockScouter rates stocks from 1 to 10, with 10 being the best, using a system of advanced mathematics to determine a stock's expected risk and return. Ratings are displayed on a bell curve, meaning there will be fewer ratings of 1 and 10 and far more of 4 through 7.

125
125 rated 1
267
267 rated 2
455
455 rated 3
612
612 rated 4
682
682 rated 5
695
695 rated 6
632
632 rated 7
472
472 rated 8
279
279 rated 9
147
147 rated 10
1 2 3 4 5 6 7 8 9 10
No. Company Name Core Rating
Last Change % Change
Volume Market cap. P/E
Dividend Dividend yield 6 mo expected return
Market cap. market prefs Sector market prefs Growth/value market prefs
Fundamental grade Valuation grade Technical grade
Ownership grade
Reset Default

NO. Symbol Company Name OVERALL RATING Core Rating Last Change % Change Volume Market cap. P/E Dividend Dividend yield 6 mo expected return Market cap. market prefs Sector market prefs Growth/value market prefs Fundamental grade Valuation grade Technical grade Ownership grade
1 AMCO ARMCO METALS HOLDINGS Inc 1 1 0.17 -0.01 -7.22% 21,459 9.24 Mil -0.66 NA NA -14.19% Neutral Neutral Neutral NA F F NA
2 BAA BANRO CORPORATION 1 1 0.19 0.00 -1.96% 1.67 Mil 49.06 Mil -9.28 NA NA -14.19% Neutral Neutral Neutral NA D F C
3 BOTA BIOTA HOLDINGS Ltd ORD 1 2 2.19 -0.04 -1.79% 127,594 76.86 Mil -9.16 NA NA -10.43% Neutral Neutral Neutral NA C F C
4 COCO CORINTHIAN COLLEGES INC 1 1 0.09 -0.01 -9.35% 1.53 Mil 8.24 Mil -0.10 NA NA -14.19% Neutral Neutral N/A NA D F C
5 CRRS CORPORATE RESOURCE SERVICES INC 1 1 1.30 unch unch 81,056 205.42 Mil -532.57 NA NA -14.19% Neutral Neutral Neutral NA D F C
6 DGLY DIGITAL ALLY Inc COMMON STOCK 1 3 18.80 -0.99 -5.00% 670,347 50.89 Mil -9.50 NA NA -31.16% Neutral Neutral Neutral NA B F C
7 FREE FreeSEAS Inc 1 3 0.25 -0.03 -9.12% 2.55 Mil 8.97 Mil -0.16 NA NA -31.16% Neutral Neutral Neutral NA B F C
8 JTPY JETPAY CORPORATION 1 3 1.81 +0.09 +5.23% 36,535 21.47 Mil -2.25 NA NA -31.16% Neutral Neutral Neutral NA D C NA
9 MNGA MAGNEGAS CORPORATION 1 3 1.16 -0.02 -1.69% 272,784 38.52 Mil -4.76 NA NA -31.16% Neutral Neutral Neutral NA B F NA
10 NTN NTN BUZZTIME INC 1 3 0.37 -0.02 -3.90% 14,554 33.94 Mil -11.21 NA NA -31.16% Neutral Neutral Neutral NA B F C
11 ONVO ORGANOVO HLDGS INC 1 3 7.02 -0.06 -0.85% 616,913 550.93 Mil -18.84 NA NA -31.16% Neutral Neutral N/A NA D C C
12 OSN OSSEN INNOVATION CO. Ltd. 1 3 0.89 -0.02 -2.54% 14,007 17.65 Mil 4.36 NA NA -31.16% Neutral Neutral Neutral NA C D NA
13 PTSX POINT.360 1 2 0.50 -0.02 -3.85% 11,526 5.27 Mil -1.99 NA NA -10.43% Neutral Neutral Neutral NA F C C
14 PVG PRETIUM RESOURCES Inc 1 3 6.20 -0.25 -3.88% 376,584 714.91 Mil -53.76 NA NA -31.16% Neutral Neutral N/A NA D C NA
15 RNA PROSENSA HOLDING N.V. ORDINARY SHARES 1 3 8.66 +0.49 +6.00% 299,299 311.18 Mil -26.49 NA NA -31.16% Neutral Neutral Neutral NA B F NA
16 SEED ORIGIN AGRITECH LIMITED 1 2 2.16 +0.02 +0.80% 36,186 49.05 Mil -7.99 NA NA -10.43% Neutral Neutral Neutral NA D D C
17 SPEX SPHERIX INC NEW 1 1 1.02 -0.03 -2.86% 727,379 28.47 Mil -0.20 NA NA -14.19% Neutral Neutral N/A NA D F C
18 STXS STEREOTAXIS Inc 1 3 2.47 -0.02 -0.80% 122,739 50.04 Mil -0.64 NA NA -31.16% Neutral Neutral Neutral NA B F C
19 XTLB XTL BIOPHARMACEUTICALS Ltd 1 3 2.15 +0.10 +4.88% 2,080 25.04 Mil -13.32 NA NA -31.16% Neutral Neutral Neutral NA B F NA
20 ZAZA ZAZA ENERGY CORPORATION 1 3 4.62 -0.23 -4.74% 32,606 54.77 Mil -3.47 NA NA -31.16% Neutral Neutral Neutral NA B F NA
21 AMCF ANDATEE CHINA MARINE FUEL SERVICES Corp 1 1 3.18 -0.13 -3.93% 201,416 32.61 Mil -18.19 NA NA -14.19% Neutral Neutral Neutral F F C NA
22 CALI CHINA AUTO LOGISTICS INC 1 1 1.86 -0.05 -2.62% 5,010 7.50 Mil -1.62 NA NA -14.19% Neutral Neutral N/A F D D NA
23 CARV CARVER BANCORP Inc 1 2 9.05 -0.20 -2.16% 233 33.45 Mil -31.17 1.50 NA -10.43% Neutral Neutral N/A F C NA NA
24 CNET CHINANET ONLINE HOLDINGS Inc 1 2 1.12 +0.05 +4.67% 555,696 25.11 Mil -9.29 NA NA -10.43% Neutral Neutral Neutral F C D C
25 CPHI CHINA PHARMA HOLDINGS Inc 1 2 0.24 0.00 -1.07% 24,397 10.46 Mil -0.44 NA NA -10.43% Neutral Neutral Neutral F D C NA
26 DXM DEX MEDIA Inc 1 1 11.28 -0.07 -0.62% 135,839 199.01 Mil -0.23 NA NA -14.19% Neutral Neutral Neutral F F D C
27 EGLE EAGLE BULK SHIPPING Inc 1 1 1.07 +0.02 +1.90% 112,382 19.60 Mil -0.13 NA NA -14.19% Neutral Neutral Neutral F F F NA
28 END ENDEAVOR INTERNATIONAL CORPORATION 1 1 0.48 -0.01 -2.78% 537,440 24.19 Mil -0.16 NA NA -14.19% Neutral Neutral Neutral F F F C
29 FCEL FUELCELL ENERGY INC 1 2 2.27 -0.02 -0.87% 2.43 Mil 644.43 Mil -10.75 NA NA -10.43% Neutral Neutral Neutral F B F C
30 GBR NEW CONCEPT ENERGY 1 3 1.67 -0.05 -2.91% 15,174 3.25 Mil 27.72 NA NA -31.16% Neutral Neutral Neutral F C C NA
31 GOMO SUNGY MOBILE LIMITED AMERICAN DEPOSITARY SHARES 1 2 6.84 -0.27 -3.80% 90,296 228.85 Mil 24.53 NA NA -10.43% Neutral Neutral Neutral F B F C
32 GPRC GUANWEI RECYCLING CORP 1 1 0.72 +0.00 +0.07% 25,159 7.49 Mil 0.93 NA NA -14.19% Neutral Neutral Neutral F C F C
33 HART HARVARD APPARATUS REGENERATIVE TECHNOLOGY Inc 1 1 8.35 +0.19 +2.33% 37,642 65.52 Mil -6.33 NA NA -14.19% Neutral Neutral N/A F D D C
34 IGC INDIA GLOBALIZATION CAPITAL Inc 1 1 0.86 -0.01 -1.15% 34,984 10.83 Mil -2.13 NA NA -14.19% Neutral Neutral N/A F D D NA
35 IGLD INTERNET GOLD-GOLDEN LINES Ltd 1 1 9.25 +0.04 +0.43% 1,321 177.63 Mil 23.14 NA NA -14.19% Neutral Neutral Neutral F F F NA
36 IPCI INTELLIPHARMACEUTICALS INTERNATIONAL Inc 1 3 3.33 -0.08 -2.35% 119,714 77.69 Mil -7.78 NA NA -31.16% Neutral Neutral Neutral F B D C
37 KNDI KANDI TECHNOLOGIES GROUP Inc 1 3 15.76 +0.08 +0.51% 1.28 Mil 660.51 Mil -24.13 NA NA -31.16% Neutral In Favor Neutral F B D C
38 KOOL CESCA THERAPEUTICS Inc 1 3 1.29 -0.02 -1.53% 71,511 42.11 Mil -3.10 NA NA -31.16% Neutral Neutral Neutral F B D C
39 KUTV KU6 MEDIA CO. Ltd 1 3 1.32 -0.04 -2.94% 42,515 62.78 Mil -1.56 NA NA -31.16% Neutral In Favor Neutral F B D NA
40 LOJN LOJACK CORP 1 1 3.91 -0.04 -1.01% 20,484 73.27 Mil -26.15 NA NA -14.19% Neutral Neutral Neutral F D F C
41 MRTX MIRATI THERAPEUTICS Inc COMMON STOCK 1 2 18.98 -0.05 -0.26% 8,284 256.89 Mil -3.72 NA NA -10.43% Neutral Neutral N/A F D C C
42 NAK NORTHERN DYNASTY MINERALS Ltd. 1 1 0.62 +0.01 +2.12% 90,896 58.70 Mil -4.47 NA NA -14.19% Neutral Neutral N/A F D F C
43 NFEC NF ENERGY SAVING CORPORATION OF AMERICA 1 3 2.95 -0.08 -2.64% 16,866 16.87 Mil -22.67 NA NA -31.16% Neutral Neutral Neutral F B D NA
44 NIHD NII HOLDINGS Inc 1 1 0.07 -0.01 -12.35% 14.82 Mil 11.38 Mil -0.01 NA NA -14.19% Neutral Neutral N/A F D F C
45 OESX ORION ENERGY SYSTEMS Inc 1 3 5.50 -0.03 -0.54% 44,744 119.77 Mil -12.02 NA NA -31.16% Neutral Neutral Neutral F B D C
46 ORMP ORAMED PHARMACEUTICALS Inc 1 2 8.88 -0.03 -0.34% 21,953 88.41 Mil -15.78 NA NA -10.43% Neutral Neutral N/A F D C C
47 RCPI ROCK CREEK PHARMACEUTICALS Inc 1 2 0.24 -0.01 -3.54% 440,213 43.77 Mil -1.08 NA NA -10.43% Neutral Neutral Neutral F B F C
48 ROX CASTLE BRANDS Inc 1 3 1.17 +0.05 +4.46% 1.4 Mil 181.41 Mil -16.05 NA NA -31.16% Neutral Neutral Neutral F B D C
49 RSH RADIOSHACK Corp 1 1 0.97 -0.06 -5.61% 4.62 Mil 97.89 Mil -0.25 0.50 NA -14.19% Neutral Neutral N/A F NA D C
50 SARA SARATOGA RESOURCES INC 1 2 1.46 +0.04 +2.82% 72,055 45.24 Mil -1.19 NA NA -10.43% Neutral Neutral Neutral F C D C

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Fundamental company data and historical chart data provided by Morningstar Inc. Real-time index quotes and delayed quotes supplied by Morningstar Inc. Quotes delayed by up to 15 minutes, except where indicated otherwise. Fund summary, fund performance and dividend data provided by Morningstar Inc. Analyst recommendations provided by Zacks Investment Research. StockScouter data provided by Verus Analytics. IPO data provided by Hoover's Inc. Index membership data provided by Morningstar Inc.