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.

129
129 rated 1
281
281 rated 2
444
444 rated 3
732
732 rated 4
629
629 rated 5
623
623 rated 6
610
610 rated 7
440
440 rated 8
303
303 rated 9
126
126 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 AXDX ACCELERATE DIAGNOSTICS Inc 3 9 19.75 -0.28 -1.40% 47,627 829.29 Mil -44.87 NA NA 0.07% Neutral Out of Favor N/A NA D A A
2 DL CHINA DISTANCE EDUCATION HOLDINGS LIMITED 3 9 15.56 +0.14 +0.91% 36,735 555.13 Mil 38.90 0.58 3.76 0.07% Neutral Neutral Neutral A B C C
3 DOM DOMINION RESOURCES BLACK 3 9 5.34 -0.10 -1.75% 24,967 41.88 Mil 7.88 0.77 13.76 0.07% Out of Favor Neutral Neutral C B A NA
4 GST GASTAR EXPLORATION Inc 3 9 7.78 -0.33 -4.07% 364,438 480.95 Mil 10.80 NA NA 0.07% Neutral Neutral Neutral C A B B
5 HILL DOT HILL SYSTEMS Corp 3 9 4.20 -0.12 -2.78% 94,125 251.36 Mil 43.95 NA NA 0.07% Neutral Out of Favor Neutral A C B C
6 IOC INTEROIL CORPORATION 3 9 56.85 -0.43 -0.75% 74,418 2.84 Bil 10.16 NA NA 0.07% Neutral Neutral Neutral B A C C
7 MODN MODEL N Inc 3 9 9.55 -0.40 -4.02% 16,744 236.61 Mil -38.15 NA NA 0.07% Neutral Out of Favor Neutral A B C C
8 NEO NEOGENOMICS INC 3 9 5.28 +0.10 +1.83% 59,394 262.83 Mil 132.53 NA NA 0.07% Neutral Out of Favor Neutral A D A C
9 PGNX PROGENICS PHARMACEUTICALS INC 3 9 5.00 -0.05 -0.99% 341,140 348.47 Mil -7.31 NA NA 0.07% Neutral Out of Favor Neutral C B A C
10 XOOM XOOM CORPORATION COMMON STOCK 3 9 21.72 -1.08 -4.74% 182,654 825.83 Mil 140.04 NA NA 0.07% Neutral Out of Favor Neutral A A C C
11 ABTL AUTOBYTEL INC 3 8 11.85 -0.17 -1.41% 18,879 106.47 Mil 2.85 NA NA 0.07% Neutral Out of Favor Neutral A B D C
12 BDSI BIODELIVERY SCIENCES INTERNATIONAL Inc 3 8 12.67 +0.06 +0.48% 201,306 610.38 Mil -10.11 NA NA 0.07% Neutral Out of Favor Neutral A B D C
13 BYFC BROADWAY FINANCIAL CORP/DEL 3 8 2.17 +0.01 +0.47% 5,795 43.94 Mil 33.81 0.04 NA 0.07% Out of Favor Out of Favor Neutral B B C NA
14 CCM CONCORD MEDICAL SERVICES HOLDING LIMITED 3 8 8.20 -0.40 -4.65% 92,029 368.55 Mil 24.82 NA NA 0.07% Neutral Out of Favor Neutral C C A C
15 COVS COVISINT CORPORATION 3 8 4.17 -0.04 -0.95% 2,554 156.34 Mil -3.95 NA NA 0.07% Neutral Out of Favor Neutral D B A C
16 ERII ENERGY RECOVERY Inc 3 8 4.52 -0.02 -0.44% 59,808 232.82 Mil -101.51 NA NA 0.07% Neutral Neutral Neutral D B C A
17 EXK ENDEAVOUR SILVER Corp 3 8 5.88 +0.19 +3.25% 520,657 599.68 Mil -5.93 0.44 10.68 0.07% Neutral Neutral Neutral D B A C
18 GSB GLOBALSCAPE INC 3 8 2.67 +0.04 +1.52% 22,391 52.87 Mil 13.45 NA NA 0.07% Out of Favor Out of Favor Neutral D B A C
19 HYGS HYDROGENICS CORP 3 8 19.70 +1.56 +8.60% 189,088 177.47 Mil -15.09 NA NA 0.07% Neutral Out of Favor Neutral C B B C
20 INVE IDENTIVE Inc 3 8 11.18 +0.03 +0.27% 9,106 86.62 Mil -3.01 NA NA 0.07% Neutral Out of Favor Neutral C C A NA
21 LCI LANNETT COMP 3 8 36.98 +0.26 +0.71% 146,766 1.31 Bil 33.22 NA NA 0.07% Neutral Out of Favor Neutral C C A C
22 MILL MILLER ENERGY RESOURCES Inc 3 8 5.22 -0.20 -3.69% 137,198 240.29 Mil -5.55 NA NA 0.07% Neutral Neutral N/A A B D C
23 MRGE MERGE HEALTHCARE INC 3 8 2.47 +0.07 +2.71% 79,830 238.96 Mil -7.22 NA NA 0.07% Neutral Out of Favor Neutral C C A C
24 MXWL MAXWELL TECHNOLOGIES INC 3 8 12.12 -0.62 -4.87% 321,019 363.37 Mil 50.79 NA NA 0.07% Neutral Neutral Neutral A C C C
25 NNVC NANOVIRICIDES Inc NEW 3 8 4.07 -0.04 -0.98% 76,639 221.42 Mil -19.19 NA NA 0.07% Neutral Out of Favor N/A A D B C
26 PRCP PERCEPTRON INC 3 8 12.31 -0.19 -1.52% 7,181 112.61 Mil 20.36 0.15 1.21 0.07% Neutral Neutral Neutral A C C C
27 PVA PENN VIRGINIA Corp 3 8 14.92 -0.20 -1.32% 595,716 979.35 Mil -8.47 0.23 4.80 0.07% Neutral Neutral Neutral C B B NA
28 RALY RALLY SOFTWARE DEVELOPMENT Corp 3 8 10.67 -0.11 -1.02% 98,027 264.52 Mil -11.49 NA NA 0.07% Neutral Out of Favor Neutral A B F A
29 SGMO SANGAMO BIOSCIENCES INC 3 8 12.27 +0.01 +0.04% 247,010 833.19 Mil -26.23 NA NA 0.07% Neutral Out of Favor Neutral B B C C
30 TXMD THERAPEUTICSMD Inc 3 8 4.68 -0.13 -2.60% 350,179 683.57 Mil -20.78 NA NA 0.07% Neutral Neutral N/A A D D A
31 UQM UQM TECHNOLOGIES Inc 3 8 1.86 -0.02 -1.06% 89,333 75.61 Mil -24.99 NA NA 0.07% Neutral Neutral Neutral B B C C
32 USAK USA TRUCK INC 3 8 18.61 -0.01 -0.05% 6,242 195.96 Mil -23.40 NA NA 0.07% Neutral Neutral Neutral B D A C
33 XON INTREXON CORP 3 8 23.90 -0.10 -0.42% 128,071 2.36 Bil -144.70 NA NA 0.07% Neutral Out of Favor N/A A NA D C
34 ANV ALLIED NEVADA GOLD Corp 3 7 3.23 +0.06 +1.89% 768,718 336.66 Mil -46.90 NA NA 0.84% Neutral Neutral Neutral A C D C
35 BGMD BG MEDICINE Inc 3 7 1.00 +0.01 +1.02% 77,090 34.41 Mil -2.21 NA NA 0.84% Out of Favor Out of Favor Neutral B B D C
36 CMGE CHINA MOBILE GAMES AND ENTERTAINMENT GROUP LIMITED AMERICAN DEPOSITARY SHARES 3 7 14.73 +0.10 +0.68% 27,676 457.41 Mil 29.64 NA NA 0.84% Neutral Out of Favor Neutral A C D C
37 CPHI CHINA PHARMA HOLDINGS Inc 3 7 0.33 unch unch 15,600 14.56 Mil -0.74 NA NA 0.84% Out of Favor Out of Favor Neutral NA D A NA
38 DQ DAQO NEW ENERGY Corp 3 7 23.86 -0.95 -3.83% 27,489 165.52 Mil -3.33 NA NA 0.84% Neutral Neutral Neutral C B C C
39 DSS DOCumENT SECURTY SYS 3 7 1.39 -0.01 -0.71% 10,398 68.81 Mil 76.64 NA NA 0.84% Out of Favor Neutral Neutral NA B C C
40 ELTK ELTEK Ltd 3 7 1.64 -0.05 -2.96% 12,769 16.63 Mil 3.78 NA NA 0.84% Out of Favor Out of Favor Neutral C A D NA
41 EVI ENVIROSTAR Inc 3 7 2.36 +0.02 +1.03% 3,808 16.74 Mil 7.28 0.08 NA 0.84% Out of Favor Neutral Neutral C B C C
42 FCEL FUELCELL ENERGY INC 3 7 2.36 -0.02 -0.84% 2.78 Mil 613.67 Mil -10.65 NA NA 0.84% Neutral Neutral Neutral B B D C
43 FPRX FIVE PRIME THERAPEUTICS Inc 3 7 13.03 -0.18 -1.39% 25,492 279.27 Mil -4.24 NA NA 0.84% Neutral Out of Favor Neutral NA B C C
44 GBR NEW CONCEPT ENERGY 3 7 2.11 +0.00 +0.21% 1,250 4.11 Mil 11.57 NA NA 0.84% Out of Favor Out of Favor Neutral D C A NA
45 IDIX IDENIX PHARMACEUTICALS Inc 3 7 24.34 +0.01 +0.04% 363,325 3.67 Bil -26.49 NA NA 0.84% Neutral Out of Favor N/A C D A C
46 INO INOVIO PHARMACEUTICALS Inc 3 7 12.94 -0.04 -0.31% 585,862 781.45 Mil -9.54 NA NA 0.84% Neutral Out of Favor Neutral D B B NA
47 LAS LENTUO INTERNATIONAL Inc 3 7 2.20 -0.13 -5.58% 16,037 71.65 Mil 10.34 NA NA 0.84% Neutral Neutral Neutral B C C NA
48 LTBR LIGHTBRIDGE Corp 3 7 2.81 -0.03 -1.06% 25,947 41.75 Mil -7.64 NA NA 0.84% Out of Favor Out of Favor Neutral D B B C
49 MGH MINCO GOLD CORPORATION 3 7 0.41 +0.02 +4.75% 51,244 20.78 Mil -7.14 NA NA 0.84% Out of Favor Neutral N/A NA D A C
50 MVIS MICROVISION INC 3 7 2.21 -0.04 -1.78% 154,776 94.54 Mil -3.82 NA NA 0.84% Neutral Out of Favor Neutral C B C C

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