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
264
264 rated 2
485
485 rated 3
679
679 rated 4
640
640 rated 5
617
617 rated 6
632
632 rated 7
493
493 rated 8
276
276 rated 9
153
153 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
51 SYMC SYMANTEC CORP 10 10 24.21 +0.02 +0.08% 8.19 Mil 16.72 Bil 17.38 0.60 2.48 13.74% In Favor Neutral Neutral A A B C
52 TEVA TEVA PHARMACEUTICAL INDUSTRIES 10 10 52.23 +0.85 +1.65% 3.73 Mil 44.6 Bil 17.21 1.20 2.34 13.74% In Favor Neutral Neutral A A C C
53 VIV TELEFONICA BRASIL S.A. 10 10 21.98 +0.53 +2.47% 2.06 Mil 24.74 Bil 13.02 0.42 1.95 13.74% In Favor In Favor Neutral A B B NA
54 VRSN VERISIGN INC 10 10 55.75 +0.17 +0.31% 979,914 6.97 Bil 14.56 NA NA 13.74% In Favor Neutral Neutral B A A C
55 WMC WESTERN ASSET MORTGAGE CAPITAL CORPORATION 10 10 15.07 +0.35 +2.38% 1.38 Mil 628.70 Mil 4.96 2.68 18.21 13.74% Neutral Neutral Neutral A A D A
56 AAPL APPLE Inc 10 10 100.86 -0.77 -0.76% 66.59 Mil 603.94 Bil 16.27 1.88 1.85 11.09% In Favor Neutral Neutral B A A C
57 AHGP ALLIANCE HOLDINGS GPL.P. 10 10 71.53 -0.96 -1.32% 26,324 4.28 Bil 16.62 3.48 4.80 11.09% In Favor Neutral Neutral B A A C
58 ALB ALBEMARLE CORPORATION 10 10 64.98 +0.69 +1.07% 1.18 Mil 5.08 Bil 13.39 1.10 1.71 11.09% In Favor Neutral Neutral A A B B
59 ANSS ANSYS INC 10 10 79.74 -0.05 -0.06% 382,688 7.34 Bil 29.34 NA NA 11.09% In Favor Neutral Neutral A B B C
60 ARLP ALLIANCE RESOURCE PARTNERS LP 10 10 48.35 -0.54 -1.10% 119,217 3.58 Bil 11.50 2.50 5.09 11.09% In Favor Neutral Neutral A A C C
61 BBBY BED BATH & BEYOND INC 10 10 65.52 +0.39 +0.60% 1.72 Mil 13.23 Bil 13.62 NA NA 11.09% In Favor Neutral Neutral A A B C
62 BDN BRANDYWINE REALTY TRUST 10 10 15.04 +0.14 +0.94% 1.64 Mil 2.36 Bil 101.26 0.60 3.97 11.09% In Favor Neutral Neutral A A C C
63 BEAV B/E AEROSPACE INC 10 10 86.46 +0.58 +0.67% 1.29 Mil 9.1 Bil 22.47 NA NA 11.09% In Favor Neutral Neutral A A C C
64 BEN FRANKLIN RESOURCES 10 10 55.66 +0.28 +0.51% 1.2 Mil 34.80 Bil 15.51 0.48 0.87 11.09% In Favor Neutral Neutral A A B C
65 CATY CATHAY GENERAL BANCORP 10 10 26.21 -0.19 -0.70% 347,908 2.09 Bil 16.29 0.28 1.04 11.09% In Favor Neutral Neutral A A C C
66 CBOE CBOE HOLDINGS Inc 10 10 54.75 +0.02 +0.04% 700,353 4.67 Bil 26.72 0.84 1.53 11.09% In Favor Neutral Neutral A B A NA
67 CE CELANESE CORPORATION 10 10 61.18 +0.88 +1.46% 589,451 9.50 Bil 7.52 1.00 1.66 11.09% In Favor Neutral Neutral A B B C
68 CME CME GROUP Inc 10 10 79.87 +0.05 +0.06% 1.43 Mil 26.84 Bil 27.89 1.88 2.36 11.09% In Favor Neutral Neutral A B A C
69 CTSH COGNIZANT TECHNOLOGY SOLUTIONS 10 10 44.98 +0.67 +1.51% 10.91 Mil 27.34 Bil 20.14 NA NA 11.09% In Favor Neutral Neutral A A C C
70 EARN ELLINGTON RESIDENTIAL MORTGAGE REIT 10 10 17.06 +0.03 +0.18% 42,855 155.93 Mil 7.63 2.20 12.92 11.09% Neutral Neutral Neutral A A NA C
71 EMN EASTMAN CHEMICAL COMPANY 10 10 83.72 +0.79 +0.95% 1.3 Mil 12.49 Bil 10.97 1.40 1.69 11.09% In Favor Neutral Neutral A B B C
72 FAST FASTENAL CO 10 10 45.82 +0.02 +0.04% 1.02 Mil 13.60 Bil 29.58 1.00 2.18 11.09% In Favor Neutral Neutral A B C A
73 FDX FEDEX CORPORATION 10 10 154.66 +0.62 +0.40% 2.22 Mil 44.38 Bil 22.99 0.80 0.52 11.09% In Favor Neutral Neutral A A B C
74 IVZ INVESCO Ltd (NEW) 10 10 40.61 +0.20 +0.49% 2.18 Mil 17.53 Bil 19.63 1.00 2.45 11.09% In Favor Neutral Neutral A A A D
75 KEY KEYCORP 10 10 13.82 +0.01 +0.07% 5.52 Mil 12.09 Bil 13.27 0.26 1.87 11.09% In Favor Neutral Neutral B A B B
76 LM LEGG MASON Inc 10 10 50.30 +0.58 +1.17% 626,510 5.83 Bil 19.62 0.64 1.29 11.09% In Favor Neutral Neutral A A C C
77 LRCX LAM RESEARCH CORP 10 10 74.09 +1.96 +2.72% 2.37 Mil 12.01 Bil 20.45 0.72 1.00 11.09% In Favor Neutral Neutral A A B C
78 LUV SOUTHWEST AIRLINES CO. 10 10 34.53 +0.67 +1.98% 6.71 Mil 23.66 Bil 22.41 0.24 0.71 11.09% In Favor Neutral Neutral A A A D
79 MET METLIFE Inc 10 10 55.25 +0.19 +0.35% 3.28 Mil 62.14 Bil 14.08 1.40 2.52 11.09% In Favor Neutral Neutral A A B C
80 MRCC MONROE CAPITAL CORPORATION 10 10 13.50 -0.29 -2.10% 70,838 128.49 Mil 11.96 1.36 9.86 11.09% Neutral Neutral Neutral A A B C
81 MSL MIDSOUTH BANCORP Inc 10 10 19.14 -0.01 -0.05% 10,188 216.94 Mil 13.33 0.36 1.88 11.09% Neutral Neutral Neutral A B B C
82 MUSA MURPHY USA Inc 10 10 55.53 +1.72 +3.20% 279,216 2.54 Bil 17.63 NA NA 11.09% In Favor In Favor Neutral A C A C
83 MWV MEADWESTVACO CORP 10 10 42.41 -0.01 -0.02% 645,333 7.15 Bil 19.99 1.00 2.36 11.09% In Favor Neutral Neutral A A B C
84 NBCB FIRST NBC BANK HOLDING COMPANY 10 10 32.49 -0.64 -1.93% 43,271 602.86 Mil 12.24 NA NA 11.09% Neutral Neutral Neutral B A B C
85 NGLS TARGA RESOURCES PARTNERS LP 10 10 71.13 +0.60 +0.85% 185,424 8.16 Bil 29.24 3.12 4.42 11.09% In Favor Neutral Neutral A B B C
86 NLY ANNALY CAPITAL MANAGEMENT. Inc 10 10 11.43 +0.05 +0.44% 10.13 Mil 10.8 Bil 18.15 1.20 10.54 11.09% In Favor Neutral Neutral A B B A
87 NVO NOVO-NORDISK A/S 10 10 47.75 -0.02 -0.04% 917,231 131.31 Bil 28.14 0.61 1.27 11.09% In Favor Neutral Neutral C A A C
88 NYMT NEW YORK MORTGAGE TRUST Inc 10 10 7.83 +0.04 +0.51% 946,951 710.06 Mil 6.33 1.08 13.86 11.09% Neutral Neutral Neutral A A C C
89 ORC ORCHID ISLAND CAPITAL Inc 10 10 13.95 unch unch 490,743 135.99 Mil 4.96 2.16 14.84 11.09% Neutral Neutral Neutral A A B C
90 PDM PIEDMONT OFFICE REALTY TRUST Inc 10 10 18.79 +0.06 +0.32% 653,411 2.90 Bil 57.84 0.80 4.27 11.09% In Favor Neutral Neutral A B B C
91 PLOW DOUGLAS DYNAMICS Inc 10 10 19.13 -0.13 -0.68% 207,730 426.27 Mil 16.99 0.87 4.52 11.09% Neutral In Favor Neutral A C A C
92 TRNO TERRENO REALTY Corp 10 10 19.44 +0.20 +1.04% 112,810 643.36 Mil 207.11 0.56 2.91 11.09% Neutral Neutral Neutral A A C C
93 TSM TAIWAN SEMICONDUCTOR MANUFACTURING 10 10 20.48 +0.24 +1.19% 8.21 Mil 106.21 Bil 16.00 0.40 1.98 11.09% In Favor Neutral Neutral A A C C
94 TWC TIME WARNER CABLE Inc 10 10 154.66 +0.66 +0.43% 1.04 Mil 43.23 Bil 21.47 3.00 1.95 11.09% In Favor Neutral Neutral A A A D
95 UNT UNIT CORPORATION 10 10 63.34 +0.87 +1.39% 272,610 3.14 Bil 15.71 NA NA 11.09% In Favor Neutral Neutral B A B C
96 VOYA VOYA FINANCIAL Inc 10 10 39.44 -0.12 -0.30% 1.25 Mil 10.04 Bil 7.37 0.04 0.10 11.09% In Favor Neutral Neutral A B A C
97 WAFD WASHINGTON FEDERAL INC 10 10 21.27 -0.12 -0.54% 523,330 2.12 Bil 13.67 0.44 2.06 11.09% In Favor Neutral Neutral A B C A
98 ACC AMERICAN CAMPUS COMMUNITIES Inc 10 9 37.44 unch unch 1.15 Mil 3.93 Bil 66.75 1.52 4.06 10.41% In Favor Neutral Neutral B B B C
99 AI ARLINGTON ASSET INVESTMENT Corp 10 9 26.99 +0.17 +0.63% 244,077 532.05 Mil 6.94 3.50 13.05 10.41% Neutral Neutral Neutral A C B C
100 AIT APPLIED INDUSTRIAL TECH. 10 9 48.05 -0.25 -0.52% 143,447 1.99 Bil 18.03 1.00 2.06 10.41% Neutral Neutral Neutral A B C NA

(51-100 of 153) Previous Next


StockScouter data provided by Verus Analytics

Verus Analytics, Inc.

Quotes delayed 20 minutes

View more top-rated categories

Learn how StockScouter works.

Page generated 9/16/2014 5:30 PM ET

DATA PROVIDERS

Copyright © 2014 Microsoft. All rights reserved.

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.