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.

124
124 rated 1
267
267 rated 2
467
467 rated 3
605
605 rated 4
645
645 rated 5
691
691 rated 6
617
617 rated 7
459
459 rated 8
313
313 rated 9
130
130 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 BCOV BRIGHTCOVE Inc 2 10 6.12 +0.15 +2.51% 269,212 196.42 Mil -16.39 NA NA -0.28% Neutral Neutral Neutral A B A C
2 BDSI BIODELIVERY SCIENCES INTERNATIONAL Inc 2 10 13.39 +0.34 +2.61% 193,945 644.29 Mil -10.67 NA NA -0.28% Neutral Neutral Neutral A B B C
3 BLOX INFOBLOX Inc 2 10 12.40 +0.07 +0.57% 78,943 671.98 Mil -50.51 NA NA -0.28% Neutral Neutral Neutral A B A C
4 BMA BANCO MACRO S.A. 2 10 44.47 +4.71 +11.84% 382,884 2.59 Bil 6.70 1.24 3.24 -0.28% Neutral Neutral Neutral A A A NA
5 CAAS CHINA AUTOMOTIVE SYSTEMS Inc 2 10 9.38 +0.25 +2.74% 26,394 258.84 Mil 9.53 NA NA -0.28% Neutral Neutral Neutral A B B C
6 CTP CTPARTNERS EXECUTIVE SEARCH Inc 2 10 12.25 -0.45 -3.54% 12,580 90.24 Mil 58.15 NA NA -0.28% Neutral Neutral Neutral A B A C
7 CTRP CTRIP.COM INTERNATIONAL Ltd. 2 10 64.64 -0.24 -0.37% 894,002 8.76 Bil 64.96 0.11 NA -0.28% Neutral Neutral Neutral A B A C
8 DEJ DEJOUR ENERGY Inc 2 10 0.29 +0.02 +6.32% 1.05 Mil 47.41 Mil -10.93 NA NA -0.28% Neutral Neutral Neutral B B A NA
9 EDAP EDAP TMS SA 2 10 3.69 unch unch 280,481 80.62 Mil -198.33 NA NA -0.28% Neutral Neutral Neutral A B A C
10 EDN EMPRESA DISTRIBUIDORA Y COMERCIALIZADORA NORTE S.A. (EDENOR) 2 10 15.67 +2.11 +15.56% 388,848 703.86 Mil 9.94 NA NA -0.28% Neutral Neutral Neutral C A A NA
11 ENLC ENLINK MIDSTREAM LLC 2 10 39.11 -0.80 -2.00% 27,876 6.42 Bil 15.31 0.88 2.20 -0.28% Neutral Neutral N/A A NA B NA
12 GGAL GRUPO FINANCIERO GALICIA SA 2 10 16.76 +1.64 +10.85% 1.4 Mil 2.19 Bil 7.45 0.03 0.21 -0.28% Neutral Neutral Neutral A A B NA
13 GLUU GLU MOBILE Inc 2 10 6.65 -0.27 -3.90% 5.23 Mil 541.57 Mil -34.83 NA NA -0.28% Neutral Neutral Neutral A B A C
14 GORO GOLD RESOURCE CORPORATION COM STK 2 10 5.50 -0.14 -2.48% 139,466 297.98 Mil -1,664.62 0.12 4.04 -0.28% Neutral Neutral Neutral A B B B
15 IDI TIGER MEDIA INC 2 10 0.59 -0.03 -4.07% 13,674 21.00 Mil -4.93 NA NA -0.28% Neutral Neutral Neutral NA B A C
16 NOAH NOAH HOLDINGS LIMITED 2 10 16.75 unch unch 137,623 923.51 Mil 15.99 0.12 0.79 -0.28% Neutral Neutral Neutral B B A C
17 NOK NOKIA CORPORATION 2 10 8.16 -0.03 -0.31% 3.43 Mil 30.50 Bil 60.50 0.18 3.81 -0.28% Neutral Neutral N/A A NA B C
18 NYNY EMPIRE RESORTS Inc 2 10 5.03 -0.08 -1.57% 30,531 195.91 Mil -5.83 NA NA -0.28% Neutral Neutral Neutral NA B A C
19 PACB PACIFIC BIOSCIENCES OF CALIFORNIA Inc 2 10 4.84 +0.01 +0.21% 148,309 341.90 Mil -4.12 NA NA -0.28% Neutral Neutral Neutral A B A C
20 PRSC THE PROVIDENCE SERVICE CORPORATION 2 10 40.40 -0.03 -0.07% 2,488 564.34 Mil 29.70 10,710.00 NA -0.28% Neutral Neutral Neutral A B A C
21 SNSS SUNESIS PHARMACEUTICALS Inc 2 10 6.98 +0.20 +2.95% 259,770 421.46 Mil -9.96 NA NA -0.28% Neutral Neutral Neutral B B A C
22 SQNM SEQUENOM Inc 2 10 3.65 -0.07 -1.88% 3.8 Mil 424.83 Mil -4.50 NA NA -0.28% Neutral Neutral Neutral B B A C
23 STV CHINA DIGITAL TV HOLDING CO. 2 10 4.48 -0.01 -0.22% 57,082 264.99 Mil 12.92 0.98 NA -0.28% Neutral Neutral Neutral B B A C
24 TTHI TRANSITION THERAPEUTICS Inc(CANADA) 2 10 6.45 +0.02 +0.31% 4,200 206.43 Mil -18.83 NA NA -0.28% Neutral Neutral Neutral NA B A C
25 VICL VICAL INC 2 10 1.32 +0.02 +1.54% 1.1 Mil 115.49 Mil -4.52 NA NA -0.28% Neutral Neutral Neutral B B A C
26 VIPS VIPSHOP HOLDINGS LIMITED 2 10 212.11 +0.19 +0.09% 179,486 11.98 Bil 171.14 NA NA -0.28% Neutral Neutral Neutral B B A C
27 XOOM XOOM CORPORATION COMMON STOCK 2 10 22.13 +0.51 +2.36% 94,122 839.89 Mil 142.56 NA NA -0.28% Neutral Neutral Neutral A A C C
28 YY YY Inc 2 10 79.43 +0.48 +0.61% 358,686 4.45 Bil 49.32 NA NA -0.28% Neutral Neutral Neutral B B A C
29 ALCS ALCO STORES Inc 2 1 6.62 +0.08 +1.22% 2,500 21.70 Mil -0.77 NA NA -1.97% Neutral Neutral Neutral F D F C
30 AOI ALLIANCE ONE INTERNATIONAL Inc 2 1 2.32 -0.01 -0.43% 46,670 222.75 Mil -2.35 NA NA -1.97% Neutral Neutral Neutral NA F D C
31 AOL AOL Inc 2 1 38.80 +0.34 +0.88% 164,092 3.10 Bil 42.39 NA NA -1.97% Neutral Neutral Neutral F F D C
32 ARCO ARCOS DORADOS HOLDINGS Inc 2 1 10.40 +0.02 +0.19% 78,676 2.18 Bil 54.89 0.24 2.30 -1.97% Neutral Neutral Neutral F F C NA
33 AWX AVALON HOLDINGS Corp 2 1 4.05 -0.35 -7.95% 5,825 15.40 Mil -131.64 NA NA -1.97% Neutral Neutral Neutral D F D C
34 BBOX BLACK BOX CORP 2 1 21.24 -1.27 -5.64% 23,572 330.6 Mil -2.90 0.40 1.83 -1.97% Neutral Neutral Neutral D D F C
35 BDR BLONDER TONGUE LABS Inc 2 1 0.92 -0.03 -3.26% 1,601 5.72 Mil -1.63 NA NA -1.97% Neutral Neutral Neutral D F NA NA
36 DVR CAL DIVE INTERNATIONAL Inc 2 1 1.15 +0.02 +1.77% 83,526 113.55 Mil -3.38 NA NA -1.97% Neutral Neutral Neutral C F F C
37 EAC ERICKSON INCORPORATED 2 1 14.33 +0.10 +0.72% 1,706 197.94 Mil 56.17 NA NA -1.97% Neutral Neutral Neutral NA D F C
38 EVOL EVOLVING SYSTEMS Inc 2 1 10.10 +0.26 +2.64% 17,154 117.48 Mil 36.33 0.40 4.07 -1.97% Neutral Neutral Neutral F D D C
39 FLL FULL HOUSE RESORTS Inc 2 1 1.38 -0.01 -0.72% 9,400 26.04 Mil -4.61 NA NA -1.97% Neutral Neutral Neutral F F D C
40 GSOL GLOBAL SOURCES Ltd 2 1 7.25 -0.01 -0.14% 2,665 251.74 Mil 9.61 NA NA -1.97% Neutral Neutral Neutral F C F C
41 HOV HOVNANIAN ENTERPRISES 2 1 4.14 -0.11 -2.59% 1.04 Mil 599.93 Mil 75.81 NA NA -1.97% Neutral Neutral Neutral D F F C
42 INTX INTERSECTIONS Inc 2 1 3.93 -0.06 -1.50% 24,710 72.69 Mil -27.83 0.80 20.00 -1.97% Neutral Neutral Neutral F F F C
43 ISNS IMAGE SENSING SYSTEMS INC 2 1 3.07 +0.05 +1.66% 34,593 15.33 Mil -0.84 NA NA -1.97% Neutral Neutral Neutral F D F C
44 JVA COFFEE HOLDING CO. Inc 2 1 6.33 +0.03 +0.48% 25,217 40.34 Mil 66.05 0.24 5.32 -1.97% Neutral Neutral Neutral D D F C
45 KEM KEMET CORPORATION 2 1 5.01 +0.08 +1.62% 64,425 226.81 Mil -3.47 NA NA -1.97% Neutral Neutral Neutral F F C C
46 LWAY LIFEWAY FOODS INC 2 1 12.59 -0.02 -0.16% 5,176 205.80 Mil 62.65 0.08 0.60 -1.97% Neutral Neutral Neutral F C F D
47 MNTG MTR GAMING GROUP INC 2 1 4.66 +0.01 +0.22% 1,400 132.00 Mil -9.08 NA NA -1.97% Neutral Neutral Neutral F F D C
48 QNST QUINSTREET Inc 2 1 5.15 +0.05 +0.98% 8,780 223.88 Mil -4.49 NA NA -1.97% Neutral Neutral Neutral F C F C
49 SMTX SMTC CORPORATION 2 1 1.92 0.00 -0.13% 3,002 31.52 Mil -2.22 NA NA -1.97% Neutral Neutral Neutral F F C C
50 STRM STREAMLINE HEALTH SOLUTIONS Inc 2 1 5.19 +0.13 +2.57% 2,300 94.35 Mil -6.17 NA NA -1.97% Neutral Neutral N/A F NA D C

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