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.

113
113 rated 1
279
279 rated 2
416
416 rated 3
647
647 rated 4
548
548 rated 5
513
513 rated 6
669
669 rated 7
516
516 rated 8
317
317 rated 9
113
113 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 CADC CHINA ADVANCED CONSTR MATLS GROUP INC COMMON STOCK 1 1 5.14 +0.07 +1.35% 2,020 7.64 Mil -0.29 NA NA -14.19% Out of Favor Neutral Neutral D F F NA
2 CAMT CAMTEK Ltd 1 1 3.08 +0.05 +1.65% 150,514 92.08 Mil 13,218.88 NA NA -14.19% Neutral Neutral Neutral F C F NA
3 DSKX DS HEALTHCARE GROUP INC 1 1 1.86 -0.11 -5.58% 18,350 29.89 Mil -7.37 NA NA -20.11% Out of Favor Neutral N/A F NA D NA
4 EDMC EDUCATION MANAGEMENT CORP 1 2 4.14 +0.09 +2.22% 64,877 521.31 Mil -1.76 NA NA -8.97% Neutral Neutral Neutral B F F NA
5 EGLE EAGLE BULK SHIPPING Inc 1 2 3.48 +0.04 +1.16% 497,780 58.82 Mil -0.84 8.00 NA -10.43% Out of Favor Neutral N/A F NA C NA
6 ELMD ELECTROMED Inc 1 2 1.33 -0.02 -1.48% 21,606 10.79 Mil -7.59 NA NA -10.43% Out of Favor Out of Favor Neutral D C F NA
7 ETRM ENTEROMEDICS Inc 1 3 1.67 +0.04 +2.14% 502,089 111.17 Mil -3.56 NA NA -31.16% Neutral Out of Favor N/A D D C NA
8 EVK EVER-GLORY INTERNATIONAL GROUP Inc 1 3 7.30 +0.25 +3.55% 14,062 107.90 Mil 10.05 NA NA -31.16% Neutral Neutral N/A D D C NA
9 GAI GLOBAL-TECH ADVANCED INNOVATIONS Inc 1 1 5.44 -0.07 -1.27% 5,383 16.54 Mil -1.85 NA NA -20.11% Out of Favor Neutral Neutral F F D NA
10 HMNY HELIOS AND MATHESON ANALYTICS Inc 1 2 4.33 -0.16 -3.56% 1,100 10.09 Mil 26.35 0.32 7.13 -10.43% Out of Favor Neutral Neutral D C F NA
11 IAG IAMGOLD CORPORATION 1 1 3.44 -0.03 -0.86% 2.19 Mil 1.30 Bil -1.56 0.25 7.14 -20.11% Neutral Neutral Neutral F D F NA
12 JOB GENERAL EMPLOYMENT ENT. 1 1 0.21 0.00 -1.87% 84,251 4.79 Mil -2.34 NA NA -14.19% Out of Favor Neutral Neutral F F F NA
13 KIDB Kid Brands Inc 1 1 0.19 -0.05 -20.17% 216,827 4.20 Mil NA NA NA -20.11% Out of Favor Neutral N/A F NA F NA
14 KOOL CESCA THERAPEUTICS Inc 1 2 1.49 +0.08 +5.30% 393,622 29.86 Mil -3.33 NA NA -10.43% Out of Favor Out of Favor Neutral F B F NA
15 MCZ MAD CATZ INTERACTIVE INC 1 2 0.54 -0.02 -3.57% 252,145 34.52 Mil -1.78 NA NA -8.97% Out of Favor Neutral Neutral F D C NA
16 MY CHINA MING YANG WIND POWER GROUP LIMITED 1 1 2.51 -0.02 -0.79% 476,416 305.83 Mil -10.74 NA NA -14.19% Neutral Neutral N/A D D F NA
17 PLCC PAULSON CAPITAL (DELAWARE) Corp COMMON STOCK 1 1 1.15 +0.06 +5.50% 101 7.58 Mil -4.35 0.05 5.49 -14.19% Out of Favor Neutral N/A F D NA NA
18 PVG PRETIUM RESOURCES Inc 1 1 5.48 -0.08 -1.44% 301,178 575.68 Mil -36.80 NA NA -14.19% Neutral Neutral N/A NA D F NA
19 QRM QUEST RARE MINERALS Ltd 1 2 0.45 +0.00 +0.18% 82,399 30.25 Mil -7.94 NA NA -10.43% Out of Favor Neutral N/A C D F NA
20 RNA PROSENSA HOLDING N.V. ORDINARY SHARESS 1 3 5.07 +0.39 +8.33% 178,678 182.18 Mil -7.17 NA NA -31.16% Neutral Out of Favor N/A NA B F NA
21 SPPR SUPERTEL HOSPITALITY Inc 1 1 1.63 -0.09 -5.23% 6,407 4.72 Mil -1.79 0.27 15.50 -14.19% Out of Favor Neutral N/A C F F NA
22 AFOP ALLIANCE FIBER OPTIC PRODUCTS 1 3 17.32 +0.57 +3.40% 525,562 319.16 Mil 17.02 0.15 0.90 -31.16% Neutral Neutral Neutral D C C F
23 ALNY ALNYLAM PHARMACEUTICALS Inc 1 1 53.86 -0.75 -1.37% 722,622 3.44 Bil -37.15 NA NA -20.11% Neutral Out of Favor N/A D D F F
24 ENTA ENANTA PHARMACEUTICALS Inc 1 1 33.39 +0.26 +0.78% 266,164 613.16 Mil -33.82 NA NA -20.11% Neutral Out of Favor N/A F D C F
25 AEGR AEGERION PHARMACEUTICALS Inc 1 1 43.43 -0.09 -0.21% 656,100 1.28 Bil -19.80 NA NA -20.11% Neutral Out of Favor Neutral F D F D
26 ESI ITT EDUCATIONAL SERVICES 1 1 26.58 -0.11 -0.41% 309,624 621.17 Mil 10.17 NA NA -20.11% Neutral Neutral Neutral F D D D
27 ALIM ALIMERA SCIENCES Inc 1 3 6.31 +0.01 +0.16% 153,053 239.22 Mil -3.89 NA NA -31.16% Neutral Out of Favor N/A D D C C
28 AMRN AMARIN CORP PLC 1 2 1.58 -0.02 -1.25% 937,324 272.46 Mil -1.53 NA NA -10.43% Neutral Out of Favor Neutral F B F C
29 ASTI ASCENT SOLAR TECHNOLOGIES Inc 1 2 0.48 -0.01 -2.04% 292,331 32.79 Mil -0.87 NA NA -10.43% Out of Favor Neutral Neutral F B F C
30 ASTM AASTROM BIOSCIENCES INC 1 3 3.52 -0.11 -3.03% 188,520 21.68 Mil -0.68 NA NA -31.16% Out of Favor Out of Favor N/A B D F C
31 AVEO AVEO PHARMACEUTICALS Inc 1 3 1.34 -0.05 -3.60% 460,749 69.40 Mil -0.64 NA NA -31.16% Out of Favor Out of Favor N/A B D F C
32 BDSI BIODELIVERY SCIENCES INTERNATI 1 2 7.42 +0.02 +0.27% 215,219 355.66 Mil -4.91 NA NA -8.97% Neutral Out of Favor N/A F B F C
33 BIOL BIOLASE Inc 1 2 2.24 -0.11 -4.68% 193,141 83.79 Mil -6.36 NA NA -10.43% Neutral Out of Favor Neutral F B F C
34 BODY BODY CENTRAL Corp 1 1 1.05 +0.05 +5.00% 408,059 17.45 Mil -0.41 NA NA -14.19% Out of Favor Neutral Neutral F F F C
35 CCIH CHINACACHE INTERNATIONAL HOLDINGS Ltd 1 2 16.20 +0.41 +2.60% 348,966 379.15 Mil -66.76 NA NA -10.43% Neutral Neutral Neutral F B F C
36 CDTI CLEAN DIESEL TECHNOLOGIES Inc 1 1 2.57 unch unch 463,382 26.09 Mil -3.13 NA NA -14.19% Out of Favor Neutral N/A F NA F C
37 CETV CENTRAL EUROPEAN MEDIA ENTERPR 1 2 2.68 -0.05 -1.83% 641,481 362.10 Mil -1.21 2.60 NA -10.43% Neutral Neutral Neutral C D F C
38 CHCI COMSTOCK HOLDING COMPANIES Inc CLASS A 1 2 1.41 unch unch 25,732 30.12 Mil -14.10 NA NA -8.97% Out of Favor Neutral Neutral C D F C
39 CJJD CHINA JO-JO DRUGSTORES Inc 1 3 2.06 -0.06 -2.83% 23,961 29.48 Mil -1.42 NA NA -31.16% Out of Favor Out of Favor Neutral F D B C
40 CLVS CLOVIS ONCOLOGY Inc 1 3 54.85 -1.37 -2.44% 514,859 1.86 Bil -18.60 NA NA -31.16% Neutral Out of Favor N/A D D C C
41 CNDO CORONADO BIOSCIENCES Inc 1 2 1.81 -0.03 -1.63% 306,688 79.80 Mil -1.48 NA NA -10.43% Neutral Out of Favor N/A F D C C
42 COCO CORINTHIAN COLLEGES INC 1 1 1.25 -0.01 -0.79% 781,580 109.05 Mil -58.60 NA NA -20.11% Neutral Neutral Neutral C F F C
43 COSI COSI INC 1 1 1.19 unch unch 125,327 21.79 Mil -1.87 NA NA -20.11% Out of Favor Neutral Neutral F F F C
44 CPSL CHINA PRECISION STEEL Inc 1 1 2.17 +0.02 +0.93% 4,136 8.42 Mil -0.11 NA NA -14.19% Out of Favor Neutral Neutral D F D C
45 CRMB CRUMBS BAKE SHOP Inc 1 1 0.48 +0.04 +9.09% 102,074 6.03 Mil -0.36 NA NA -20.11% Out of Favor Neutral Neutral D F F C
46 CSUN CHINA SUNERGY CO.Ltd. 1 2 4.18 +0.01 +0.24% 172,279 55.90 Mil -0.48 NA NA -10.43% Neutral In Favor N/A B F F C
47 CVM CEL-SCI CORPORATION 1 3 1.27 -0.01 -0.78% 1.32 Mil 71.04 Mil -3.62 NA NA -31.16% Neutral Out of Favor N/A B D F C
48 CYTR CYTRX CORP 1 2 3.23 +0.23 +7.67% 1.14 Mil 179.47 Mil -2.24 NA NA -10.43% Neutral Out of Favor N/A C D F C
49 DLIA DELIA*S Inc 1 2 0.80 +0.04 +5.26% 303,934 55.33 Mil -0.58 NA NA -10.43% Out of Favor Neutral Neutral F D C C
50 DRAM DATARAM CORP 1 2 2.60 unch unch 36,304 5.47 Mil -1.32 0.24 NA -10.43% Out of Favor Neutral Neutral NA F C C

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