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.

111
111 rated 1
272
272 rated 2
474
474 rated 3
656
656 rated 4
638
638 rated 5
699
699 rated 6
623
623 rated 7
486
486 rated 8
260
260 rated 9
128
128 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 SPLK SPLUNK Inc 4 8 53.93 +8.64 +19.07% 20.21 Mil 6.39 Bil -51.67 NA NA 0.20% Neutral Neutral Neutral B B C C
2 AMOV AMERICA MOVIL SAB DE CV 4 4 24.50 +2.74 +12.59% 16,776 86.33 Bil 17.42 0.37 1.63 1.93% Neutral Neutral N/A D C NA C
3 CEP CONSTELLATION ENERGY PARTNERS LLC 4 9 3.87 +0.43 +12.50% 1.17 Mil 119.51 Mil -4.87 NA NA 3.05% Out of Favor Neutral Neutral C B A NA
4 GRH GREENHUNTER RESOURCES Inc 4 8 2.01 +0.22 +12.29% 844,315 72.03 Mil -6.02 NA NA 4.21% Neutral Neutral N/A D NA A C
5 ICEL CELLULAR DYNAMICS INTERNATIONAL Inc 4 7 11.44 +0.99 +9.47% 35,687 180.33 Mil -5.52 NA NA 3.58% Neutral Neutral Neutral C B C C
6 NASB NASB FINANCIAL INC 4 4 24.30 +1.92 +8.58% 7,212 191.18 Mil 9.91 0.40 1.70 1.50% Neutral Neutral Neutral D C C C
7 BBDO BANCO BRADESCO S.A. 4 4 17.89 +1.39 +8.42% 126 75.06 Bil 12.72 0.17 5.66 1.50% Neutral Neutral Neutral C D NA C
8 BLUE BLUEBIRD BIO Inc COMMON STOCK 4 8 40.01 +3.03 +8.19% 526,316 1.14 Bil -36.61 NA NA 4.21% Neutral Neutral Neutral A D A C
9 ESMC ESCALON MEDICAL CORP 4 6 1.80 +0.12 +7.14% 8,839 13.55 Mil -35.36 NA NA 1.12% Out of Favor Neutral Neutral C C C NA
10 TQNT TRIQUINT SEMICONDUCTOR INC 4 9 20.67 +1.27 +6.52% 5.9 Mil 3.61 Bil -373.80 NA NA 3.05% Neutral Neutral Neutral A C A C
11 DQ DAQO NEW ENERGY Corp 4 8 35.40 +2.09 +6.27% 75,275 245.57 Mil -22.79 NA NA 4.21% Neutral Neutral Neutral C B B C
12 BLOX INFOBLOX Inc 4 9 13.45 +0.76 +5.99% 1.19 Mil 734.65 Mil -55.22 NA NA 4.21% Neutral Neutral Neutral A B C C
13 DOVR DOVER SADDLERY Inc 4 4 5.10 +0.28 +5.81% 1,000 27.36 Mil 18.99 NA NA 1.50% Out of Favor Neutral Neutral C D NA NA
14 CMGE CHINA MOBILE GAMES AND ENTERTAINMENT GROUP LIMITED AMERICAN DEPOSITARY SHARES 4 8 18.34 +0.89 +5.10% 274,571 570.95 Mil 21.75 NA NA 4.21% Neutral Neutral Neutral A C C C
15 SQNS SEQUANS COMMUNICATIONS S.A. 4 6 2.12 +0.10 +4.95% 80,961 125.39 Mil -3.37 NA NA 1.12% Neutral Neutral Neutral C B D NA
16 ARCW ARC GROUP WORLDWIDE INC 4 8 19.96 +0.92 +4.83% 90,360 297.56 Mil 53.51 NA NA 4.21% Neutral In Favor Neutral C C A C
17 MGCD MGC DIAGNOSTICS CORPORATION 4 2 8.03 +0.36 +4.69% 4,267 34.07 Mil 21.75 NA NA 1.31% Out of Favor Neutral Neutral D C F C
18 VNDA VANDA PHARMACEUTICALS Inc 4 8 12.94 +0.58 +4.69% 254,916 438.38 Mil -7.08 NA NA 4.21% Neutral Neutral Neutral B B C C
19 VDSI VASCO DATA SECURITY INTERNATIONAL INC 4 9 14.77 +0.66 +4.68% 791,919 585.88 Mil 33.90 NA NA 0.20% Neutral Neutral Neutral A C B C
20 VRTA VESTIN REALTY MORTGAGE 1 Inc 4 4 1.80 +0.08 +4.65% 7,000 10.28 Mil -11.68 NA NA 1.61% Out of Favor Neutral Neutral F B C NA
21 VSCP VIRTUALSCOPICS Inc 4 7 4.51 +0.20 +4.57% 7,892 13.51 Mil -4.07 NA NA 1.12% Out of Favor Neutral Neutral C C B NA
22 PIP PHARMATHENEINC 4 9 2.29 +0.10 +4.57% 388,476 129.25 Mil -10.98 NA NA 4.21% Out of Favor Neutral Neutral A B C C
23 CZZ COSAN LIMITED 4 4 14.50 +0.62 +4.47% 1.61 Mil 3.92 Bil 42.90 0.16 1.12 1.93% Neutral Neutral Neutral F C B C
24 AMBA AMBARELLA Inc ORDINARY SHARES 4 8 34.25 +1.43 +4.36% 1.37 Mil 1 Bil 40.37 NA NA 0.20% Neutral Neutral Neutral B C A D
25 VRTB VESTIN REALTY MORTGAGE II Inc 4 4 5.06 +0.21 +4.33% 3,940 13.71 Mil -2.75 NA NA 1.61% Out of Favor Neutral Neutral F B C C
26 BPZ BPZ RESOURCES Inc 4 8 2.45 +0.10 +4.26% 618,685 290.47 Mil -9.06 NA NA 0.20% Neutral Neutral Neutral B B C C
27 IPDN PROFESSIONAL DIVERSITY NETWORK Inc 4 8 5.49 +0.22 +4.17% 8,026 34.64 Mil -23.80 NA NA 0.20% Out of Favor Neutral Neutral C B NA NA
28 ENT GLOBAL EAGLE ENTERTAINMENT Inc 4 7 12.62 +0.50 +4.13% 562,068 908.54 Mil -9.12 NA NA 1.12% Neutral Neutral Neutral B B D C
29 SAIC SCIENCE APPLICATIONS INTERNATIONAL CORPORATION 4 4 46.12 +1.73 +3.90% 393,404 2.21 Bil 20.08 1.12 2.52 1.50% Neutral Neutral Neutral C D C NA
30 EXH EXTERRAN HOLDINGS Inc 4 2 46.63 +1.74 +3.88% 939,951 3.13 Bil 78.51 0.60 1.34 0.94% Neutral Neutral Neutral C F D C
31 TRIB TRINITY BIOTECH PLC 4 1 21.81 +0.81 +3.86% 90,450 503.25 Mil 49.44 0.22 1.05 1.07% Neutral Neutral Neutral D D F C
32 ENZ ENZO BIOCHEM Inc 4 10 5.95 +0.22 +3.84% 194,854 260.76 Mil -24.99 NA NA 3.13% Neutral Neutral Neutral A B A C
33 GDP GOODRICH PETROLEUM Corp 4 7 22.10 +0.81 +3.80% 1.27 Mil 977.41 Mil -7.31 NA NA 3.58% Neutral Neutral Neutral C B C C
34 FEYE FIREEYE Inc 4 8 31.14 +1.14 +3.80% 12.55 Mil 4.64 Bil -11.98 NA NA 4.21% Neutral Neutral Neutral B B C C
35 XPL SOLITARIO EXPLORATION & ROYALTY CORPORATION 4 7 1.50 +0.05 +3.76% 19,833 58.87 Mil -33.44 NA NA 1.12% Out of Favor Neutral N/A A D C C
36 AFH ATLAS FINANCIAL HOLDINGS Inc ORDINARY SHARES 4 4 14.43 +0.52 +3.74% 34,165 169.86 Mil 15.28 NA NA 1.61% Neutral Neutral Neutral D B D C
37 ARC ARC DOCumENT SOLUTIONS Inc 4 9 8.12 +0.29 +3.70% 815,726 379.06 Mil -35.51 NA NA 0.20% Neutral Neutral Neutral A C B C
38 CRRC COURIER CORP 4 4 13.48 +0.48 +3.69% 24,381 154.04 Mil 21.46 0.84 6.41 1.93% Neutral Neutral Neutral C C D C
39 NG NOVAGOLD RESOURCES Inc 4 6 3.95 +0.14 +3.67% 1.15 Mil 1.25 Bil -20.65 NA NA 1.12% Neutral Neutral N/A C D B NA
40 XOOM XOOM CORPORATION COMMON STOCK 4 9 22.86 +0.81 +3.67% 237,211 872.98 Mil 229.40 NA NA 0.20% Neutral Neutral Neutral A A C C
41 NBR NABORS INDUSTRIES Ltd. 4 4 27.21 +0.95 +3.62% 3.33 Mil 8.16 Bil 54.05 0.16 0.91 1.50% Neutral Neutral Neutral D D B C
42 PDCE PDC ENERGY Inc 4 3 60.09 +2.07 +3.57% 488,918 2.16 Bil -65.30 NA NA 2.75% Neutral Neutral Neutral D D D C
43 CRIS CURIS INC 4 8 1.75 +0.06 +3.55% 1.01 Mil 150.51 Mil -11.00 NA NA 0.20% Neutral Neutral Neutral A B D C
44 AVNR AVANIR PHARMACEUTICALS Inc CLASS A 4 8 6.22 +0.21 +3.49% 1.6 Mil 1.07 Bil -13.45 NA NA 4.21% Neutral Neutral Neutral B B B C
45 PAM PAMPA ENERGIA S.A. 4 8 8.90 +0.30 +3.49% 127,906 467.89 Mil -11.81 0.01 NA 0.20% Neutral In Favor Neutral A D B NA
46 TAIT TAITRON COMPONENTS INC 4 4 1.03 +0.03 +3.47% 7,196 5.68 Mil -6.39 NA NA 1.93% Out of Favor Neutral Neutral D C NA C
47 ABGB ABENGOA S.A. AMERICAN DEPOSITARY SHARES 4 7 28.78 +0.96 +3.45% 3,597 4.83 Bil 32.65 NA NA 1.12% Neutral Neutral Neutral NA D A C
48 CYAN CYANOTECH CORP 4 2 4.80 +0.16 +3.45% 7,545 26.34 Mil -41.26 NA NA 1.31% Out of Favor Neutral Neutral F C D C
49 OWW ORBITZ WORLDWIDE Inc 4 4 8.20 +0.27 +3.40% 3.67 Mil 909.52 Mil 49.11 NA NA 1.61% Neutral Neutral Neutral C C D D
50 PRGX PRGX GLOBAL Inc 4 2 6.22 +0.20 +3.32% 345,396 172.01 Mil -27.72 NA NA 1.31% Neutral Neutral Neutral F C D C

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