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
279
279 rated 2
454
454 rated 3
606
606 rated 4
675
675 rated 5
690
690 rated 6
622
622 rated 7
453
453 rated 8
301
301 rated 9
111
111 rated 10
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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 MNTG MTR GAMING GROUP INC 2 1 4.80 +0.01 +0.21% 12,634 137.04 Mil -9.43 NA NA -1.97% Neutral Neutral Neutral F F C C
52 MW MENS WEARHOUSE Inc 2 2 58.14 +0.70 +1.22% 458,487 2.79 Bil 41.95 0.72 1.25 -0.32% Neutral Neutral Neutral C F D D
53 NOR NORANDA ALUMINUM HOLDINGS CORPORATION 2 3 4.60 +0.01 +0.22% 582,760 316.80 Mil -4.84 0.04 0.87 -27.28% Neutral Neutral Neutral D F B C
54 NVTL NOVATEL WIRELESS INC 2 1 1.85 -0.03 -1.71% 57,935 63.42 Mil -1.45 NA NA -20.11% Out of Favor Out of Favor Neutral D F D C
55 QCCO QC HOLDINGS Inc 2 1 2.59 +0.08 +3.38% 29,093 45.44 Mil -5.02 0.20 7.52 -9.69% Out of Favor Out of Favor Neutral F F C C
56 QUAD QUAD/GRAPHICS Inc 2 1 21.53 +0.30 +1.41% 28,990 1.05 Bil 27.50 1.20 5.65 -1.97% Neutral Neutral Neutral F F C C
57 SBSA SPANISH BROADCASTING SYSTEM Inc 2 2 5.69 +0.09 +1.61% 8,223 37.03 Mil -4.26 NA NA -3.01% Out of Favor Neutral Neutral D F C C
58 SKH SKILLED HEALTHCARE GROUP Inc 2 1 6.05 -0.11 -1.79% 116,216 243.61 Mil -27.69 NA NA -3.24% Neutral Out of Favor Neutral F F C C
59 SMTX SMTC CORPORATION 2 1 1.91 +0.04 +2.14% 81,181 31.36 Mil -2.21 NA NA -1.97% Out of Favor Out of Favor Neutral F F D C
60 SORL SORL AUTO PARTS Inc 2 2 3.62 -0.08 -2.16% 28,685 69.88 Mil 6.41 NA NA -8.97% Out of Favor Neutral Neutral C F D C
61 SQM SOCIEDAD QUIMICA Y MINERA DE CHILE SA 2 1 28.75 +0.40 +1.41% 523,516 7.57 Bil 19.11 1.14 2.37 -3.24% Neutral Neutral Neutral F F C C
62 SYPR SYPRIS SOLUTIONS INC 2 1 5.50 +0.25 +4.76% 60,619 109.79 Mil -58.48 0.08 1.61 -3.24% Neutral Out of Favor Neutral D F D C
63 TITN TITAN MACHINERY Inc 2 1 16.14 +0.09 +0.56% 34,691 342.58 Mil 67.06 NA NA -3.24% Neutral Neutral Neutral F F D C
64 VBFC VILLAGE BANK AND TRUST FINANCIAL Corp 2 1 1.56 +0.16 +11.29% 124,313 8.32 Mil -1.40 NA NA -9.69% Out of Favor Out of Favor Neutral D F NA NA
65 VII VICON INDUSTRIES Inc 2 2 2.35 -0.07 -2.89% 52,111 10.58 Mil -6.70 NA NA -0.32% Out of Favor Out of Favor Neutral C F NA NA
66 VIP VIMPELCOM Ltd 2 1 8.12 +0.01 +0.12% 1.15 Mil 14.26 Bil -4.60 0.90 9.86 -1.97% Neutral Out of Favor Neutral F F C C
67 VSR VERSAR Inc 2 1 3.29 +0.05 +1.54% 30,865 31.95 Mil -167.50 NA NA -1.97% Out of Favor Neutral Neutral F F D C
68 WLT WALTER ENERGY Inc 2 1 5.81 +0.09 +1.57% 3.25 Mil 384.09 Mil -0.91 0.04 0.70 -20.11% Neutral Neutral Neutral D F D C
69 ACAD ACADIA PHARMACEUTICALS Inc 2 2 20.14 -0.17 -0.84% 599,860 2.00 Bil -36.25 NA NA -3.01% Neutral Out of Favor N/A D D C F
70 ACET ACETO CORP 2 2 17.42 +0.02 +0.11% 76,507 498.46 Mil 17.02 0.24 1.36 -0.32% Neutral Neutral Neutral F D D C
71 ACST ACASTI PHARMA Inc 2 2 0.96 +0.00 +0.48% 90,455 101.48 Mil -11.44 NA NA -8.97% Neutral Out of Favor N/A NA D D C
72 ACUR ACURA PHARMACEUTICALS INC 2 1 1.02 -0.01 -0.97% 96,327 49.82 Mil -3.58 NA NA -3.24% Out of Favor Out of Favor N/A D D F C
73 AE ADAMS RESOURCES & ENERGY 2 2 68.50 -1.37 -1.96% 9,129 288.91 Mil 14.88 0.88 1.24 -0.32% Neutral Neutral Neutral D D D C
74 AIQ ALLIANCE HEALTHCARE SERVICES Inc 2 1 28.20 -0.27 -0.95% 43,901 301.41 Mil -17.55 NA NA -9.69% Neutral Out of Favor Neutral F D D C
75 ALN AMERICAN LORAIN CORPORATION COMMON STOCK 2 2 1.16 -0.01 -0.85% 45,564 40.16 Mil 2.56 NA NA -0.32% Out of Favor Neutral Neutral F D C NA
76 ALNY ALNYLAM PHARMACEUTICALS Inc 2 1 54.97 +0.86 +1.59% 346,595 4.17 Bil -10.61 NA NA -9.69% Neutral Out of Favor N/A F D F F
77 AMAP AUTONAVI HOLDINGS Ltd. 2 2 20.90 -0.03 -0.14% 353,775 1.38 Bil -14.46 NA NA -3.01% Neutral Out of Favor Neutral F D C NA
78 AMCN AIRMEDIA GROUP Inc 2 3 2.11 +0.11 +5.50% 187,236 125.69 Mil -11.99 NA NA -27.28% Neutral Neutral Neutral C D D C
79 AMED AMEDISYS INC 2 3 16.37 +0.65 +4.13% 254,950 536.81 Mil -4.75 NA NA -10.39% Neutral Out of Favor Neutral C D D C
80 AMPE AMPIO PHARMACEUTICALS INC 2 1 6.59 +0.01 +0.15% 215,690 342.13 Mil -8.84 NA NA -20.11% Neutral Out of Favor N/A F D F C
81 AMRC AMERESCO Inc 2 1 6.81 +0.12 +1.79% 58,522 314.30 Mil -79.17 NA NA -3.24% Neutral Neutral Neutral F D D C
82 ANAD ANADIGICS INC 2 2 0.85 +0.02 +2.93% 543,512 71.46 Mil -1.50 NA NA -3.01% Out of Favor Out of Favor Neutral C D F C
83 API ADVANCED PHOTONIX Inc 2 1 0.53 -0.01 -0.93% 417,354 19.81 Mil -3.88 NA NA -9.69% Out of Favor Neutral Neutral F D D C
84 APPY VENAXIS Inc COMMON STOCK 2 3 1.97 +0.06 +3.14% 84,581 61.01 Mil -3.18 NA NA -10.39% Out of Favor Out of Favor N/A C D D C
85 ARNA ARENA PHARMACEUTICALS INC 2 2 4.84 -0.04 -0.82% 3.88 Mil 1.07 Bil -41.06 NA NA -3.01% Neutral Out of Favor Neutral D D C F
86 ATEC ALPHATEC HOLDINGS Inc 2 2 1.38 unch unch 144,904 134.79 Mil -1.54 NA NA -3.01% Neutral Out of Favor Neutral C D F C
87 AUQ AURICO GOLD Inc 2 3 4.18 -0.03 -0.71% 795,447 1.04 Bil -4.63 0.08 1.90 -10.39% Neutral Neutral Neutral NA D C NA
88 AVL AVALON RARE METALS Inc 2 1 0.46 +0.00 +0.22% 138,310 57.61 Mil -5.13 NA NA -9.69% Out of Favor Neutral N/A F D F C
89 AXX ALDERON IRON ONE CORP 2 3 1.17 -0.03 -2.50% 27,662 152.27 Mil -24.61 NA NA -27.28% Neutral Neutral N/A C D D C
90 BEBE BEBE STORES INC 2 1 2.84 -0.08 -2.74% 218,924 225.59 Mil -3.77 0.10 3.36 -3.24% Neutral Neutral Neutral D D F D
91 BGFV BIG 5 SPORTING GOODS CORP 2 2 11.53 +0.19 +1.67% 72,054 257.38 Mil 11.33 0.40 3.48 -0.32% Neutral Neutral Neutral D D D C
92 BIOD BIODEL Inc 2 2 1.87 +0.01 +0.54% 111,358 39.49 Mil -1.87 NA NA -8.97% Out of Favor Out of Favor N/A C D F C
93 BIOS BIOSCRIP Inc 2 1 7.34 -0.05 -0.68% 303,987 502.24 Mil -7.00 NA NA -3.24% Neutral Out of Favor Neutral F D D C
94 BLRX BIOLINERX Ltd 2 2 1.93 -0.02 -1.03% 61,009 46.61 Mil -2.71 NA NA -0.32% Out of Favor Out of Favor N/A D D D NA
95 BYD BOYD GAMING CORPORATION 2 1 11.13 +0.38 +3.53% 798,255 1.21 Bil -12.60 0.60 NA -3.24% Neutral Neutral Neutral F D D F
96 CCRN CROSS COUNTRY HEALTHCARE INC 2 1 6.50 +0.08 +1.25% 31,747 202.53 Mil -3.77 NA NA -9.69% Neutral Out of Favor Neutral F D D C
97 CCXI CHEMOCENTRYX Inc 2 2 5.75 +0.13 +2.22% 93,442 248.70 Mil -6.11 NA NA -3.01% Neutral Out of Favor N/A D D D C
98 CHCI COMSTOCK HOLDING COMPANIES Inc CLASS A 2 2 1.15 +0.05 +4.55% 69,039 24.74 Mil -5.52 NA NA -3.01% Out of Favor Neutral Neutral C D F C
99 CHLN CHINA HOUSING & LAND DEVELOPMENT Inc 2 1 1.53 -0.02 -1.29% 22,669 52.41 Mil 6.60 NA NA -20.11% Out of Favor Out of Favor Neutral F D F C
100 CLF CLIFFS NATURAL RESOURCES Inc 2 2 15.19 +0.10 +0.66% 2.43 Mil 2.33 Bil 14.61 0.60 3.79 -0.32% Neutral Neutral Neutral D D D C

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