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.

116
116 rated 1
284
284 rated 2
461
461 rated 3
671
671 rated 4
628
628 rated 5
618
618 rated 6
615
615 rated 7
495
495 rated 8
347
347 rated 9
115
115 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 NAVB NAVIDEA BIOPHARMACEUTICALS Inc 2 2 1.43 +0.15 +11.72% 1.01 Mil 215.41 Mil -4.18 NA NA -0.32% Neutral Neutral N/A C D F C
2 BEBE BEBE STORES INC 2 2 3.30 +0.33 +11.11% 843,009 262.13 Mil -4.38 0.10 1.82 -0.32% Neutral Neutral Neutral D D D C
3 EGT ENTERTAINMENT GAMING ASIA Inc 2 1 0.52 +0.04 +7.88% 40,374 15.65 Mil -2.65 NA NA -20.11% Out of Favor Neutral Neutral NA D F C
4 PRXI PREMIER EXHIBITIONS Inc 2 1 0.74 +0.05 +7.25% 80,555 36.30 Mil -12.56 NA NA -3.24% Out of Favor Neutral Neutral F C F C
5 RIC RICHMONT MINES Inc 2 3 2.78 +0.18 +6.92% 555,453 132.46 Mil -4.59 NA NA -27.28% Out of Favor Neutral Neutral F C C C
6 AVNW AVIAT NETWORKS Inc 2 1 1.57 +0.10 +6.80% 343,483 97.58 Mil -2.26 NA NA -9.69% Out of Favor Neutral Neutral F F D C
7 CTC IFM INVESTMENTS LIMITED (NEW) 2 1 1.59 +0.10 +6.71% 43,356 23.65 Mil -1.02 NA NA -20.11% Out of Favor Neutral Neutral NA F D C
8 ANFI AMIRA NATURE FOODS Ltd 2 10 17.22 +0.99 +6.10% 673,827 506.21 Mil 16.61 NA NA -0.28% Neutral Neutral Neutral A C A C
9 EROC EAGLE ROCK ENERGY PARTNERS L.P. 2 2 4.34 +0.24 +5.85% 887,384 693.82 Mil -2.24 0.60 13.82 -0.32% Neutral Neutral Neutral D C F D
10 PACB PACIFIC BIOSCIENCES OF CALIFORNIA Inc 2 10 5.86 +0.32 +5.78% 1 Mil 413.89 Mil -5.23 NA NA -0.28% Neutral Neutral Neutral A B B A
11 REE RARE ELEMENT RESOURCES Ltd 2 1 1.10 +0.05 +5.14% 182,092 52.67 Mil -2.62 NA NA -20.11% Out of Favor Neutral N/A NA D F C
12 ENZN ENZON PHARMACEUTICALS INC 2 10 1.64 +0.08 +5.13% 2.04 Mil 72.37 Mil 2.73 NA NA -0.28% Out of Favor Neutral Neutral B A A C
13 CLUB TOWN SPORTS INTERNATIONAL HOLDINGS Inc 2 3 5.59 +0.27 +5.08% 644,432 135.86 Mil -53.22 0.64 11.45 -10.39% Neutral Neutral Neutral D F F A
14 LEE LEE ENTERPRISES Inc 2 2 4.06 +0.19 +4.91% 105,977 218.09 Mil -2.49 NA NA -0.32% Neutral Neutral Neutral B F F C
15 ATLC ATLANTICUS HOLDINGS CORPORATION 2 2 2.80 +0.13 +4.87% 240 43.22 Mil -1.43 NA NA -0.32% Out of Favor Neutral Neutral D F C C
16 TACT TRANSACT TECHNOLOGIES INC 2 1 7.79 +0.35 +4.70% 30,473 64.88 Mil 21.34 0.32 4.11 -3.24% Out of Favor Neutral Neutral D D F C
17 CLIR CLEARSIGN COMBUSTION CORPORATION 2 2 7.85 +0.33 +4.39% 46,127 75.82 Mil -12.29 NA NA -3.01% Out of Favor Neutral N/A NA D D C
18 FSI FLEXIBLE SOLUTIONS INTERNATIONAL Inc 2 10 1.69 +0.07 +4.32% 667,256 22.26 Mil 11.53 NA NA -0.28% Out of Favor Neutral Neutral A A B NA
19 RELV RELIV INTERNATIONAL INC 2 1 1.22 +0.05 +4.27% 25,152 15.45 Mil 44.03 0.02 2.46 -20.11% Out of Favor Neutral Neutral D F F C
20 IMMU IMMUNOMEDICS INC 2 3 3.33 +0.13 +4.06% 588,764 310.07 Mil -7.96 NA NA -27.28% Neutral Neutral Neutral F B D C
21 FORD FORWARD INDUSTRIES INC-N Y 2 1 1.28 +0.05 +4.06% 32,494 10.49 Mil -19.77 NA NA -9.69% Out of Favor Neutral Neutral C F F C
22 MPET MAGELLAN PETROLEUM CORP 2 3 2.06 +0.08 +4.04% 191,226 93.42 Mil -4.71 NA NA -10.39% Neutral Neutral Neutral F B D C
23 ONE HIGHER ONE HOLDINGS Inc 2 2 3.88 +0.15 +4.02% 363,501 184.64 Mil 27.94 NA NA -3.01% Neutral Neutral Neutral D D D C
24 ARL AMERICAN REALTY INVESTORS 2 1 5.96 +0.23 +4.01% 3,022 83.60 Mil -3.58 NA NA -9.69% Neutral Neutral Neutral F C F C
25 KWK QUICKSILVER RESOURCES INC 2 3 1.33 +0.05 +3.91% 2.52 Mil 239.37 Mil -1.98 NA NA -27.28% Neutral Neutral Neutral C D F C
26 ZA ZUOAN FASHION LIMITED 2 1 1.34 +0.05 +3.88% 138,566 37.28 Mil 1.77 NA NA -20.11% Out of Favor Neutral Neutral F C F NA
27 EHTH EHEALTH Inc 2 10 24.54 +0.88 +3.72% 308,311 436.01 Mil -1,463.41 NA NA -0.28% Neutral Neutral Neutral A B C A
28 MTSL MER TELEMANAGEMENT SOLUTIONS 2 3 1.40 +0.05 +3.70% 5,304 6.52 Mil 104.14 NA NA -10.39% Out of Favor Neutral Neutral F B D NA
29 TGE TGC INDUSTRIES Inc 2 2 4.00 +0.14 +3.63% 42,163 87.83 Mil -10.42 0.14 NA -0.32% Neutral Neutral Neutral D C F C
30 MGAM MULTIMEDIA GAMES HOLDING COMPANY Inc 2 1 27.81 +0.94 +3.50% 219,969 825.44 Mil 22.61 NA NA -1.97% Neutral Neutral Neutral D C F F
31 KBIO KALOBIOS PHARMACEUTICALS Inc 2 3 1.53 +0.05 +3.38% 83,886 50.47 Mil -1.13 NA NA -27.28% Out of Favor Neutral N/A B D F C
32 LFVN LIFEVANTAGE CORP 2 1 1.27 +0.04 +3.25% 238,001 131.70 Mil 16.38 NA NA -3.24% Neutral Neutral Neutral F C F C
33 POZN POZEN INC 2 10 8.30 +0.26 +3.23% 158,215 261.68 Mil -245.48 NA NA -0.28% Neutral Neutral Neutral A A C C
34 SGYP SYNERGY PHARMACEUTICALS INC COMMON STOCK 2 2 3.90 +0.12 +3.17% 515,412 369.70 Mil -4.73 NA NA -0.32% Neutral Neutral N/A D D D C
35 IAG IAMGOLD CORPORATION 2 2 4.01 +0.12 +3.08% 5.29 Mil 1.51 Bil -1.83 0.25 NA -3.01% Neutral Neutral Neutral F D C NA
36 IKNX IKONICS CORP 2 3 19.81 +0.56 +2.90% 5,050 39.97 Mil 45.35 NA NA -27.28% Out of Favor Neutral Neutral C C F C
37 MCP MOLYCORP Inc 2 3 1.79 +0.05 +2.87% 2.65 Mil 438.14 Mil -0.87 NA NA -27.28% Neutral Neutral Neutral C C F C
38 ISLE ISLE OF CAPRI CASINOS INC 2 3 8.27 +0.23 +2.86% 276,838 329.39 Mil -2.53 NA NA -10.39% Neutral Neutral Neutral C D D D
39 AKS AK STEEL HOLDING Corp 2 10 10.92 +0.30 +2.82% 5.39 Mil 1.49 Bil -14.90 0.20 NA -0.28% Neutral Neutral Neutral A D A A
40 SYNA SYNAPTICS INC 2 2 82.10 +2.23 +2.79% 582,996 3.02 Bil 65.25 NA NA -0.32% Neutral Neutral Neutral C D D F
41 MILL MILLER ENERGY RESOURCES Inc 2 3 5.18 +0.14 +2.78% 132,847 238.68 Mil -5.51 NA NA -27.28% Neutral Neutral Neutral F B D C
42 JAKK JAKKS PACIFIC INC 2 3 6.78 +0.18 +2.73% 167,924 157.82 Mil -30.95 0.28 NA -27.28% Neutral Neutral Neutral C F C C
43 SMTX SMTC CORPORATION 2 1 1.90 +0.05 +2.70% 28,083 31.19 Mil -2.20 NA NA -1.97% Out of Favor Neutral Neutral F F D C
44 NSM NATIONSTAR MORTGAGE HOLDINGS Inc 2 2 35.00 +0.92 +2.70% 251,726 3.18 Bil 26.00 NA NA -0.32% Neutral Neutral Neutral D F C C
45 IKAN IKANOS COMMUNICATIONS Inc 2 3 0.38 +0.01 +2.68% 376,001 37.73 Mil -0.84 NA NA -27.28% Out of Favor Neutral Neutral B D F C
46 DVR CAL DIVE INTERNATIONAL Inc 2 1 0.79 +0.02 +2.66% 1.01 Mil 78.14 Mil -1.26 NA NA -3.24% Neutral Neutral Neutral F F F C
47 SILC SILICOM Ltd 2 2 31.05 +0.80 +2.64% 136,198 223.02 Mil 12.56 1.00 3.31 -3.01% Neutral Neutral Neutral F B F C
48 THRX THERAVANCE Inc 2 1 23.56 +0.60 +2.61% 495,536 2.71 Bil -13.20 0.50 2.12 -1.97% Neutral Neutral N/A D D D F
49 VLGEA VILLAGE SUPER MARKET 2 1 22.93 +0.57 +2.55% 44,772 322.25 Mil 43.99 1.00 4.36 -1.97% Neutral Neutral Neutral F F D D
50 QBAK QUALSTAR CORP 2 2 1.24 +0.03 +2.48% 4,220 15.19 Mil -1.81 0.24 NA -8.97% Out of Favor Neutral Neutral D C F C

(1-50 of 284) 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 8/30/2014 2:29 AM 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.