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 BBRY BLACKBERRY LIMITED 4 5 9.95 -0.32 -3.12% 15.06 Mil 5.24 Bil -0.91 NA NA 4.36% Neutral Out of Favor Neutral NA C C C
2 DWRE DEMANDWARE Inc 4 5 61.92 -0.85 -1.35% 328,140 2.22 Bil -91.19 NA NA 4.36% Neutral Out of Favor Neutral C B C F
3 ENT GLOBAL EAGLE ENTERTAINMENT Inc 4 5 10.45 -0.03 -0.29% 194,968 752.24 Mil -5.17 NA NA 4.36% Neutral Out of Favor Neutral NA B D C
4 ISLE ISLE OF CAPRI CASINOS INC 4 5 7.89 -0.06 -0.75% 135,523 314.25 Mil -2.42 NA NA 4.36% Neutral Neutral Neutral A D D D
5 KWK QUICKSILVER RESOURCES INC 4 5 1.88 -0.15 -7.39% 4.33 Mil 336.94 Mil 2.01 NA NA 4.36% Neutral Neutral Neutral C A F D
6 TREX TREX COMPANY Inc 4 5 27.70 -0.80 -2.81% 243,744 930.57 Mil 37.23 NA NA 4.36% Neutral Neutral Neutral F B B D
7 AMRN AMARIN CORP PLC 4 8 1.54 +0.04 +2.67% 968,645 266.28 Mil -1.97 NA NA 4.21% Neutral Out of Favor Neutral A B D C
8 ARCW ARC GROUP WORLDWIDE INC 4 8 14.59 -0.25 -1.68% 39,981 217.50 Mil 39.11 NA NA 4.21% Neutral Neutral Neutral A C C C
9 ASM AVINO SILVER & GOLD MINES Ltd. (CANADA) 4 8 2.20 -0.02 -0.90% 128,447 70.9 Mil 32.25 NA NA 4.21% Out of Favor Neutral Neutral C B B C
10 AXN AOXING PHARMACEUTICAL COMPANY Inc 4 8 0.38 +0.02 +4.40% 77,181 18.95 Mil -1.14 NA NA 4.21% Out of Favor Out of Favor Neutral D B A NA
11 BCRX BIOCRYST PHARMACEUTICALS INC 4 9 11.74 -0.02 -0.17% 859,538 705.16 Mil -18.84 NA NA 4.21% Neutral Out of Favor Neutral A B A D
12 BIOA BIOAMBER Inc 4 8 12.95 +0.23 +1.81% 67,652 240.42 Mil -5.24 NA NA 4.21% Neutral Neutral N/A B D A C
13 BLDP BALLARD POWER SYSTEMS Inc 4 8 4.32 +0.19 +4.47% 4.91 Mil 568.89 Mil -28.72 NA NA 4.21% Neutral Out of Favor Neutral C B B C
14 CMGE CHINA MOBILE GAMES AND ENTERTAINMENT GROUP LIMITED AMERICAN DEPOSITARY SHARES 4 8 14.68 +0.29 +2.02% 192,774 455.86 Mil 29.50 NA NA 4.21% Neutral Out of Favor Neutral A C C C
15 CREG CHINA RECYCLING ENERGY CORPORATION COMMON STOCK 4 8 1.71 +0.14 +8.92% 1.09 Mil 104.22 Mil 6.30 NA NA 4.21% Neutral Neutral Neutral B B C C
16 CYTK CYTOKINETICS Inc 4 9 4.11 -0.13 -3.07% 400,482 150.46 Mil -4.07 NA NA 4.21% Neutral Out of Favor Neutral B B B C
17 DANG E-COMMERCE CHINA DANGDANG Inc 4 9 13.86 -0.23 -1.63% 3.61 Mil 1.12 Bil -101.05 NA NA 4.21% Neutral Neutral Neutral A D A NA
18 DLHC DLH HOLDINGS Corp 4 8 1.99 +0.09 +4.65% 7,406 19.09 Mil 46.23 NA NA 4.21% Out of Favor Neutral Neutral C C A NA
19 ECYT ENDOCYTE Inc COMMON STOCK 4 8 5.96 -0.34 -5.40% 1.09 Mil 247.37 Mil -12.43 NA NA 4.21% Neutral Out of Favor Neutral B B C C
20 EJ E-HOUSE(CHINA) HOLDINGS LIMITED 4 8 11.64 +0.21 +1.84% 2.77 Mil 1.61 Bil 27.62 0.15 1.43 4.21% Neutral Out of Favor Neutral A F A NA
21 FEYE FIREEYE Inc 4 8 36.50 -0.65 -1.75% 2.48 Mil 5.3 Bil -14.04 NA NA 4.21% Neutral Out of Favor Neutral A B B F
22 GNI GREAT NORTHERN IRON ORE PPTY 4 8 19.58 +0.25 +1.29% 22,209 29.37 Mil 1.97 10.00 29.69 4.21% Out of Favor Neutral Neutral D A NA C
23 GRH GREENHUNTER RESOURCES Inc 4 9 3.02 -0.21 -6.50% 1.07 Mil 102.04 Mil -14.77 NA NA 4.21% Out of Favor Neutral N/A C NA A C
24 GTIV GENTIVA HEALTH SERVICES INC 4 8 18.28 unch unch 155,063 673.46 Mil -1.56 NA NA 4.21% Neutral Neutral Neutral B D A C
25 IDN INTELLICHECK MOBILSA INC 4 8 0.61 -0.02 -2.40% 93,055 24.07 Mil -7.52 NA NA 4.21% Out of Favor Out of Favor Neutral B B C C
26 IFON INFOSONICS CORPORATION 4 9 2.36 -0.13 -5.22% 375,305 33.47 Mil 202.66 NA NA 4.21% Out of Favor Out of Favor Neutral C NA A C
27 INPH INTERPHASE CORP 4 9 3.83 +0.08 +2.13% 2,100 26.85 Mil -11.62 NA NA 4.21% Out of Favor Out of Favor Neutral C B A C
28 ITMN INTERMUNE INC 4 8 44.35 -1.15 -2.53% 1.2 Mil 4.39 Bil -16.72 NA NA 4.21% Neutral Out of Favor Neutral B B A D
29 JRJC CHINA FINANCE ONLINE CO. Ltd. 4 8 4.59 +0.15 +3.38% 415,999 102.03 Mil -16.04 NA NA 4.21% Neutral Out of Favor Neutral C B B C
30 LSG LAKE SHORE GOLD CORP 4 8 1.16 +0.06 +5.45% 398,411 483.41 Mil -2.33 NA NA 4.21% Neutral Neutral Neutral D B A C
31 MACK MERRIMACK PHARMACEUTICALS Inc 4 8 5.71 unch unch 805,956 590.44 Mil -4.42 NA NA 4.21% Neutral Out of Favor Neutral C B C A
32 NBY NOVABAY PHARMACEUTICALS Inc 4 8 1.02 +0.02 +1.99% 97,168 51.77 Mil -2.64 NA NA 4.21% Out of Favor Out of Favor Neutral C B B C
33 NOAH NOAH HOLDINGS LIMITED 4 9 16.13 +0.81 +5.29% 601,568 891.93 Mil 15.44 0.12 0.79 4.21% Neutral Out of Favor Neutral B B B C
34 OSIR OSIRIS THERAPEUTICS Inc 4 8 14.50 -0.22 -1.49% 103,370 496.22 Mil -346.19 NA NA 4.21% Neutral Out of Favor Neutral A A C D
35 PACB PACIFIC BIOSCIENCES OF CALIFORNIA Inc 4 8 4.71 -0.05 -0.95% 664,710 331.68 Mil -3.99 NA NA 4.21% Neutral Out of Favor Neutral C B B C
36 PXLW PIXELWORKS INC 4 8 7.97 -0.35 -4.21% 1.3 Mil 179.39 Mil -27.70 NA NA 4.21% Neutral Out of Favor Neutral A B D C
37 RIOM RIO ALTO MINING LIMITED 4 8 2.48 +0.08 +3.33% 231,425 437.36 Mil 12.67 NA NA 4.21% Neutral Neutral Neutral D A B C
38 SGMA SIGMATRON INTERNATIONAL INC 4 8 11.28 +0.30 +2.69% 15,466 45.50 Mil 15.74 NA NA 4.21% Out of Favor Out of Favor N/A B D A C
39 SHIP SEANERGY MARITIME HOLDINGS Corp 4 8 1.47 -0.03 -2.00% 16,110 17.58 Mil 0.19 2.81 NA 4.21% Out of Favor Neutral Neutral NA B B NA
40 SKBI SKYSTAR BIO-PHARMACEUTICAL CO NEW 4 9 5.17 -0.15 -2.82% 26,857 39.32 Mil 3.68 NA NA 4.21% Out of Favor Out of Favor Neutral B C A NA
41 SRPT SAREPTA THERAPEUTICS Inc COMMON STOCK 4 8 19.90 -0.68 -3.30% 1.24 Mil 809.50 Mil -7.17 NA NA 4.21% Neutral Out of Favor N/A B B C C
42 SUMR SUMMER INFANT INC 4 8 4.24 +0.35 +9.00% 797,636 76.29 Mil -24.81 NA NA 4.21% Out of Favor Out of Favor Neutral A F A C
43 SYRX SYSOREX GLOBAL HOLDINGS Corp 4 8 3.88 -0.16 -3.87% 20,628 75.66 Mil -7.30 NA NA 4.21% Out of Favor Out of Favor N/A B NA C NA
44 TSL TRINA SOLAR LIMITED 4 8 11.40 +0.04 +0.35% 3.87 Mil 821.95 Mil 44.74 NA NA 4.21% Neutral Neutral Neutral A C C C
45 YUME YUME Inc 4 9 5.96 -0.01 -0.17% 226,096 192.93 Mil -95.42 NA NA 4.21% Neutral Out of Favor Neutral B C B A
46 AAOI APPLIED OPTOELECTRONICS Inc 4 7 20.31 -0.11 -0.54% 72,240 300.28 Mil -813.44 NA NA 3.58% Neutral Out of Favor Neutral C A D C
47 ACRX ACELRX PHARMACEUTICALS Inc 4 7 6.39 -4.44 -41.00% 15.53 Mil 276.79 Mil -12.99 NA NA 3.58% Neutral Out of Favor Neutral B B D C
48 AGEN AGENUS Inc 4 7 3.23 -0.01 -0.31% 537,504 201.02 Mil -4.71 NA NA 3.58% Neutral Out of Favor N/A B D B C
49 ALDW ALON USA PARTNERS LP 4 7 17.43 -0.36 -2.02% 174,746 1.09 Bil 12.83 2.76 15.51 3.58% Neutral Neutral Neutral B C C NA
50 BITA BITAUTO HOLDINGS LIMITED 4 7 57.79 +1.08 +1.90% 551,384 2.55 Bil 57.08 NA NA 3.58% Neutral Out of Favor Neutral B F A NA

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