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
265
265 rated 2
429
429 rated 3
612
612 rated 4
499
499 rated 5
525
525 rated 6
701
701 rated 7
533
533 rated 8
337
337 rated 9
131
131 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
51 SNP CHINA PETROLEUM & CHEMICAL CORPORATION ADS (REP 100 ORDINARY H SHARES) 4 2 90.47 +0.59 +0.66% 136,990 105.46 Bil 9.31 2.61 3.82 0.94% Neutral In Favor Neutral D D D C
52 WAG WALGREENS CO. 4 4 66.75 +0.59 +0.89% 6.22 Mil 63.7 Bil 23.48 1.26 1.89 1.93% Neutral Neutral Neutral B D D D
53 CLMT CALUMET SPECIALTY PRODUCTS PARTNERS L.P. 4 2 27.61 +0.58 +2.15% 295,509 1.91 Bil -163.11 2.74 9.92 1.31% Neutral In Favor Neutral F NA B F
54 TGI TRIUMPH GROUP Inc 4 2 64.55 +0.58 +0.91% 250,210 3.39 Bil 14.84 0.16 0.25 0.94% Neutral Neutral Neutral F D C C
55 PCBK PACIFIC CONTINENTAL CORP 4 4 14.11 +0.57 +4.21% 73,076 252.50 Mil 18.51 0.40 2.83 1.93% Neutral Neutral Neutral B D D C
56 INCY INCYTE GENOMICS INC 4 6 44.54 +0.56 +1.27% 3.68 Mil 7.37 Bil -79.50 NA NA 1.12% Neutral Out of Favor Neutral C B C C
57 CGI CELADON GROUP Inc 4 4 23.64 +0.55 +2.38% 61,132 550.40 Mil 23.95 0.08 0.34 1.93% Neutral Neutral Neutral F C B D
58 ARII AMERICAN RAILCAR INDUSTRIES Inc 4 9 63.22 +0.54 +0.86% 245,063 1.35 Bil 15.53 1.60 2.53 3.05% Neutral Neutral Neutral B B B NA
59 RMBS RAMBUS INC 4 4 12.31 +0.52 +4.41% 2.4 Mil 1.40 Bil -41.01 NA NA 1.50% Neutral Neutral Neutral D D B NA
60 PSEM PERICOM SEMICONDUCTOR CORP 4 4 7.82 +0.51 +6.98% 116,020 178.47 Mil -11.28 NA NA 1.93% Neutral Neutral Neutral D B D C
61 SLH SOLERA HOLDINGS Inc 4 4 63.25 +0.51 +0.81% 200,998 4.36 Bil 1,402.13 0.68 1.08 1.93% Neutral Neutral Neutral F B C D
62 TWIN TWIN DISC INCORPORATED 4 4 26.70 +0.51 +1.95% 61,782 300.77 Mil 277.45 0.36 1.35 1.50% Neutral Neutral Neutral F NA B C
63 UBNT UBIQUITI NETWORKS INC 4 6 41.06 +0.51 +1.26% 1.61 Mil 3.60 Bil 27.82 NA NA 1.12% Neutral In Favor Neutral C B B D
64 EPAM EPAM SYSTEMS Inc 4 4 33.13 +0.50 +1.53% 464,262 1.55 Bil 25.84 NA NA 1.50% Neutral Neutral Neutral B F D C
65 WPRT WESTPORT INNOVATIONS Inc 4 3 13.49 +0.50 +3.85% 1.12 Mil 846.28 Mil -4.19 NA NA 2.75% Neutral Neutral Neutral D B F C
66 INFN INFINERA CORPORATION COMMON STOCK 4 6 8.62 +0.49 +6.03% 1.81 Mil 1.06 Bil -31.51 NA NA 1.12% Neutral Neutral Neutral A B D F
67 CIR CIRCOR INTERNATIONAL INC 4 4 72.05 +0.47 +0.66% 70,353 1.27 Bil 26.96 0.15 0.21 1.93% Neutral Neutral Neutral C C D NA
68 ERA ERA GROUP Inc 4 2 28.46 +0.46 +1.64% 55,451 574.43 Mil 32.42 NA NA 0.94% Neutral Neutral Neutral F C D D
69 OFLX OMEGA FLEX Inc 4 4 21.12 +0.46 +2.23% 4,390 213.14 Mil 21.24 NA NA 1.93% Neutral Neutral Neutral C D C C
70 BBOX BLACK BOX CORP 4 3 22.41 +0.45 +2.05% 28,101 351.11 Mil 13.63 0.36 1.61 2.75% Neutral Neutral Neutral D D C C
71 IBCP INDEPENDENT BANK Corp 4 9 13.37 +0.45 +3.48% 79,750 306.45 Mil 3.56 0.24 1.80 3.05% Neutral Neutral Neutral B B B NA
72 NEON NEONODE Inc COMMON STOCK 4 6 5.69 +0.45 +8.59% 2.19 Mil 215.90 Mil -15.34 NA NA 1.12% Neutral Neutral N/A A D D C
73 STJ ST. JUDE MEDICAL Inc 4 4 62.49 +0.45 +0.73% 2.84 Mil 17.73 Bil 25.12 1.08 1.73 1.93% Neutral Out of Favor Neutral B D C F
74 TTPH TETRAPHASE PHARMACEUTICALS Inc 4 6 10.20 +0.45 +4.62% 372,263 263.06 Mil -5.74 NA NA 1.12% Neutral Out of Favor Neutral D B C C
75 REV REVLON Inc (NEW) 4 4 26.57 +0.43 +1.65% 31,297 1.39 Bil 56.53 NA NA 1.61% Neutral Neutral Neutral F C B NA
76 ICGE ICG GROUP Inc 4 4 20.97 +0.42 +2.04% 133,520 858.00 Mil -29.96 NA NA 1.50% Neutral Neutral N/A B NA C F
77 ARP ATLAS RESOURCE PARTNERS L.P. COMMON UNITS 4 2 21.25 +0.41 +1.97% 271,334 1.4 Bil NA 0.48 NA 0.94% Neutral In Favor Neutral F D C NA
78 CDI CDI CORPORATION 4 1 16.60 +0.41 +2.53% 24,771 323.70 Mil 25.43 0.52 3.13 1.07% Neutral Neutral Neutral F F C C
79 CJES C&J ENERGY SERVICES Inc 4 2 30.25 +0.41 +1.37% 1.02 Mil 1.68 Bil 25.22 NA NA 0.94% Neutral In Favor Neutral F F A F
80 SP SP PLUS CORPORATION 4 4 25.87 +0.41 +1.61% 30,806 568.55 Mil 47.61 NA NA 1.93% Neutral Neutral Neutral C C D C
81 PKY PARKWAY PROPERTIES Inc 4 4 18.60 +0.40 +2.20% 247,129 1.92 Bil -31.00 0.75 4.03 1.93% Neutral Neutral Neutral D D B NA
82 RFP RESOLUTE FOREST PRODUCTS Inc 4 4 17.47 +0.39 +2.28% 285,394 1.65 Bil -2.59 NA NA 1.61% Neutral Neutral Neutral C D C D
83 TYPE MONOTYPE IMAGING HOLDINGS Inc 4 4 28.85 +0.39 +1.37% 84,299 1.13 Bil 36.46 0.32 1.11 1.93% Neutral Neutral Neutral D C C NA
84 ARCW ARC GROUP WORLDWIDE INC 4 9 42.02 +0.38 +0.91% 51,428 246.63 Mil 46.18 NA NA 4.21% Neutral In Favor Neutral B C A NA
85 CYH COMMUNITY HEALTH S. (NEW) 4 2 35.68 +0.38 +1.08% 1.37 Mil 4.05 Bil 23.63 NA NA 1.31% Neutral Out of Favor Neutral F D C D
86 ELRC ELECTRO RENT CORP 4 2 16.80 +0.38 +2.31% 27,619 403.33 Mil 18.51 0.80 4.76 0.94% Neutral Neutral N/A F D C C
87 TDS TELEPHONE & DATA SYSTEM NEW 4 4 26.77 +0.38 +1.44% 1.28 Mil 2.91 Bil 20.59 0.54 2.00 1.50% Neutral In Favor Neutral F C B C
88 BLKB BLACKBAUD Inc 4 2 31.60 +0.37 +1.18% 149,774 1.46 Bil 47.10 0.48 1.52 0.94% Neutral Neutral Neutral C F D NA
89 FLIR FLIR SYSTEMS INC 4 4 35.70 +0.37 +1.05% 1.23 Mil 5.03 Bil 29.26 0.40 1.12 1.93% Neutral Neutral Neutral C D B F
90 LMOS LUMOS NETWORKS CORP 4 6 12.61 +0.37 +3.02% 98,006 279.79 Mil 15.38 0.56 4.44 1.12% Neutral Neutral Neutral C C F A
91 FFIN FIRST FINANCIAL BANKSHARES INC 4 4 58.40 +0.36 +0.62% 113,618 1.87 Bil 23.64 1.04 1.78 1.93% Neutral Neutral Neutral C C D NA
92 PLPC PREFORMED LINE PRODUCTS CO 4 3 62.50 +0.36 +0.58% 2,746 337.04 Mil 16.60 0.80 1.28 2.75% Neutral Neutral Neutral D D C D
93 SGA SAGA COMMUNICATIONS Inc NEW 4 4 45.70 +0.36 +0.79% 14,638 262.16 Mil 17.58 NA NA 1.50% Neutral Neutral Neutral D C C C
94 BGG BRIGGS & STRATTON Corp 4 2 22.28 +0.35 +1.60% 219,327 1.05 Bil -29.82 0.48 2.15 0.94% Neutral Neutral Neutral F D B F
95 CMN CANTEL MEDICAL CORPORATION 4 4 34.02 +0.35 +1.04% 104,616 1.41 Bil 33.39 0.07 0.24 1.93% Neutral Out of Favor Neutral C C D NA
96 MGYR MAGYAR BANCORP Inc 4 4 8.20 +0.35 +4.46% 2,290 47.65 Mil 421.85 NA NA 1.50% Out of Favor Neutral Neutral F B NA C
97 PKE PARK ELECTROCHEMICAL Corp 4 2 27.56 +0.35 +1.29% 23,283 575.19 Mil 26.41 0.40 1.45 1.31% Neutral Neutral N/A F NA C C
98 UNFI UNITED NATURAL FOODS INC 4 4 68.24 +0.35 +0.52% 244,046 3.39 Bil 28.38 NA NA 1.93% Neutral Neutral Neutral C D C C
99 AEGN AEGION CORP 4 4 24.42 +0.34 +1.41% 183,045 927.27 Mil 18.78 NA NA 1.93% Neutral Neutral Neutral F D A D
100 TBBK THE BANCORP Inc 4 4 18.57 +0.34 +1.87% 150,913 698.28 Mil 28.19 NA NA 1.93% Neutral Neutral Neutral C D C C

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