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.

133
133 rated 1
286
286 rated 2
441
441 rated 3
737
737 rated 4
614
614 rated 5
606
606 rated 6
621
621 rated 7
441
441 rated 8
317
317 rated 9
122
122 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 DJCO DAILY JOURNAL CORP 3 2 177.95 -2.05 -1.14% 2,620 245.70 Mil 65.02 NA NA -0.03% Neutral Neutral Neutral D NA D C
2 GWPH GW PHARMACEUTICALS PLC AMERICAN DEPOSITARY SHARES 3 4 84.88 -2.09 -2.40% 422,282 1.26 Bil -59.66 NA NA 1.08% Neutral Out of Favor Neutral D D B NA
3 SCTY SOLARCITY CORPORATION 3 5 72.57 +0.41 +0.57% 3.59 Mil 6.68 Bil -156.26 NA NA -0.32% Neutral Neutral Neutral D B B F
4 GEVA SYNAGEVA BIOPHARMA Corp 3 4 72.38 -2.86 -3.80% 175,021 2.39 Bil -18.01 NA NA 1.32% Neutral Out of Favor N/A C D C D
5 COKE COCA-COLA BOTTLING CO CONSOLIDATED 3 1 70.88 +0.12 +0.17% 14,499 657.15 Mil 26.08 1.00 1.41 0.22% Neutral Neutral Neutral F F C C
6 YELP YELP Inc 3 8 68.68 -1.09 -1.56% 2.47 Mil 4.92 Bil -586.74 NA NA 0.07% Neutral Out of Favor Neutral A B C D
7 PNRG PRIMEENERGY CORP 3 4 65.10 +0.70 +1.09% 3,207 154.08 Mil 16.03 NA NA 2.12% Neutral Neutral Neutral D C NA C
8 FSLR FIRST SOLAR Inc 3 4 64.05 +0.75 +1.18% 2.38 Mil 6.41 Bil 15.56 NA NA 2.12% Neutral Neutral Neutral C F B C
9 NUS NUSKIN ENTERPRISES Inc 3 6 62.66 -0.98 -1.54% 491,083 3.69 Bil 10.30 1.38 2.17 -0.32% Neutral Neutral Neutral B B F C
10 POWL POWELL INDUSTRIES INC 3 1 60.73 -1.04 -1.68% 18,021 729.65 Mil 16.97 1.00 1.62 0.22% Neutral Neutral Neutral F D D C
11 IOC INTEROIL CORPORATION 3 9 56.51 -0.77 -1.34% 195,475 2.83 Bil 10.10 NA NA 0.07% Neutral Neutral Neutral B A C C
12 PLPC PREFORMED LINE PRODUCTS CO 3 2 53.80 +0.40 +0.75% 3,411 289.91 Mil 16.00 0.80 1.50 -0.03% Neutral Out of Favor Neutral D D D C
13 THC TENET HEALTHCARE CORPORATION NEW 3 2 53.61 +4.39 +8.92% 5.02 Mil 5.24 Bil -83.69 NA NA -0.03% Neutral Out of Favor Neutral B F D F
14 RENT RENTRAK CORP 3 4 50.35 -1.28 -2.48% 72,189 618.64 Mil -85.34 NA NA 1.32% Neutral Neutral N/A F D C B
15 LPLA LPL FINANCIAL HOLDINGS Inc 3 1 49.06 -0.35 -0.71% 134,285 4.93 Bil 28.58 0.96 1.96 0.22% Neutral Out of Favor Neutral D F D C
16 IART INTEGRA LIFESCIENCES HOLDINGS 3 1 47.50 -0.11 -0.23% 102,776 1.55 Bil -160.47 NA NA 0.22% Neutral Out of Favor Neutral F D C F
17 AER AERCAP HOLDINGS N.V. 3 4 44.70 -0.72 -1.59% 537,573 5.09 Bil 18.44 NA NA 2.12% Neutral Neutral Neutral B F B F
18 CUB CUBIC CORPORATION 3 1 43.66 -0.45 -1.02% 122,407 1.17 Bil 3,027.74 0.24 0.54 0.22% Neutral Neutral Neutral F NA D D
19 UBNT UBIQUITI NETWORKS INC 3 6 40.10 -0.48 -1.18% 587,208 3.53 Bil 22.96 NA NA -0.32% Neutral Neutral Neutral C C B C
20 DXCM DEXCOM Inc 3 3 39.05 +0.62 +1.61% 763,111 2.93 Bil -90.08 NA NA 1.15% Neutral Out of Favor Neutral D B D F
21 BNFT BENEFITFOCUS Inc 3 6 38.95 -0.32 -0.81% 156,987 977.78 Mil -15.81 NA NA -0.32% Neutral Out of Favor Neutral B B D C
22 SHLD SEARS HOLDING CORPORATION 3 6 38.71 -0.48 -1.22% 463,679 4.12 Bil -2.76 NA NA -0.32% Neutral Neutral Neutral D F B A
23 TRAK DEALERTRACK TECHNOLOGIES Inc 3 2 38.16 -0.21 -0.55% 237,694 2.04 Bil -298.26 NA NA -0.03% Neutral Out of Favor Neutral D B F F
24 QIWI QIWI PLC 3 7 37.94 +0.25 +0.66% 448,540 1.98 Bil 31.45 1.16 3.08 0.84% Neutral Out of Favor Neutral A D C C
25 PFPT PROOFPOINT Inc 3 3 37.73 +1.08 +2.95% 1.13 Mil 1.40 Bil -37.85 NA NA 1.15% Neutral Out of Favor Neutral D D B F
26 SGA SAGA COMMUNICATIONS Inc NEW 3 2 37.69 -0.04 -0.11% 9,519 216.68 Mil 14.68 0.80 2.12 -0.03% Neutral Neutral Neutral F C D C
27 CLVS CLOVIS ONCOLOGY Inc 3 9 37.68 +0.67 +1.81% 274,618 1.28 Bil -11.59 NA NA 0.07% Neutral Out of Favor N/A A D A NA
28 LCI LANNETT COMP 3 8 37.02 +0.30 +0.82% 303,025 1.32 Bil 33.30 NA NA 0.07% Neutral Out of Favor Neutral C C A C
29 MYGN MYRIAD GENETICS INC 3 4 37.02 -0.33 -0.88% 509,399 2.77 Bil 15.75 NA NA 2.12% Neutral Out of Favor Neutral A F C F
30 CCL CARNIVAL CORPORATION 3 1 36.68 -0.53 -1.42% 2.56 Mil 29.65 Bil 26.14 1.00 2.69 0.22% Neutral Neutral Neutral C F D F
31 DB DEUTSCHE BANK AG 3 1 35.87 -0.44 -1.21% 1.04 Mil 36.56 Bil 285.48 0.55 2.08 0.22% Neutral Out of Favor Neutral F NA D NA
32 BLUE BLUEBIRD BIO Inc COMMON STOCK 3 6 33.39 -0.59 -1.74% 292,338 818.45 Mil -21.03 NA NA 0.84% Neutral Out of Favor Neutral F B A C
33 NSM NATIONSTAR MORTGAGE HOLDINGS Inc 3 3 32.09 -0.77 -2.34% 339,714 2.91 Bil 16.24 NA NA 1.15% Neutral Out of Favor Neutral F C C C
34 ANIP ANI PHARMACEUTICALS Inc 3 6 30.52 -0.66 -2.12% 107,903 344.69 Mil -532.20 NA NA 0.84% Neutral Out of Favor Neutral C B D C
35 NPSP NPS PHARMACEUTICALS INC 3 4 29.22 -0.07 -0.24% 698,533 3.11 Bil -241.56 NA NA 2.12% Neutral Out of Favor Neutral C B F C
36 INSY INSYS THERAPEUTICS Inc 3 6 29.16 +1.53 +5.54% 485,614 998.13 Mil 20.72 NA NA 0.84% Neutral Out of Favor Neutral F B C A
37 SPBC SP BANCORP Inc 3 2 28.88 -0.01 -0.03% 2,600 46.27 Mil 44.85 NA NA -0.03% Out of Favor Out of Favor Neutral F C NA NA
38 USG USG CORPORATION 3 1 28.20 +0.60 +2.17% 2.41 Mil 3.89 Bil 36.88 NA NA 0.06% Neutral Neutral Neutral D F D C
39 XLRN ACCELERON PHARMA Inc 3 4 28.13 +0.23 +0.82% 159,719 884.85 Mil -8.94 NA NA 1.32% Neutral Out of Favor Neutral B B F F
40 PTCT PTC THERAPEUTICS Inc 3 6 27.80 -0.10 -0.36% 248,603 836.07 Mil -10.33 NA NA 0.84% Neutral Out of Favor Neutral F B A C
41 FLDM FLUIDIGM CORPORATION 3 4 27.43 -0.91 -3.21% 349,312 769.71 Mil -25.02 NA NA 2.12% Neutral Out of Favor Neutral F B C D
42 PBI PITNEY BOWES Inc 3 2 26.97 -0.14 -0.52% 1.15 Mil 5.47 Bil 19.30 0.75 2.77 -0.03% Neutral Neutral Neutral D F C C
43 FMI FOUNDATION MEDICINE Inc 3 6 26.30 -1.05 -3.84% 234,513 741.46 Mil -8.50 NA NA -0.32% Neutral Out of Favor Neutral C B B F
44 TROX TRONOX LIMITED CL A ORDINARY SHARES 3 1 26.06 +0.02 +0.08% 428,443 2.96 Bil -23.29 1.00 3.84 0.06% Neutral Neutral Neutral F D D NA
45 JKS JINKOSOLAR HOLDINGS CO 3 4 25.85 +0.55 +2.17% 1.28 Mil 798.22 Mil 13.14 NA NA 1.32% Neutral Neutral Neutral C D C C
46 DMRC DIGIMARC CORPORATION 3 4 25.53 -1.59 -5.86% 72,572 192.17 Mil -50.90 0.44 1.72 2.12% Neutral Out of Favor Neutral F B C C
47 IMKTA INGLES MARKETS INC 3 1 25.24 -0.41 -1.60% 26,905 574.46 Mil 28.81 0.66 2.50 0.06% Neutral Neutral Neutral F F D D
48 DQ DAQO NEW ENERGY Corp 3 7 24.39 -0.42 -1.69% 42,553 169.20 Mil -3.40 NA NA 0.84% Neutral Neutral Neutral C B C C
49 IDIX IDENIX PHARMACEUTICALS Inc 3 7 24.35 +0.02 +0.08% 1.17 Mil 3.67 Bil -26.48 NA NA 0.84% Neutral Out of Favor N/A C D A C
50 FUEL ROCKET FUEL Inc 3 5 24.28 -0.03 -0.12% 315,443 853.25 Mil -21.79 NA NA 0.84% Neutral Out of Favor Neutral B B D F

(1-50 of 441) 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 7/26/2014 11:11 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.