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.

115
115 rated 1
269
269 rated 2
445
445 rated 3
614
614 rated 4
684
684 rated 5
678
678 rated 6
608
608 rated 7
454
454 rated 8
310
310 rated 9
138
138 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 ACTG ACACIA RESEARCH CORPORATION 5 8 17.06 -0.37 -2.12% 488,326 854.07 Mil -9.58 0.50 2.87 7.12% Neutral Neutral Neutral C B B C
2 BSDM BSD MEDICAL CORPORATION 5 8 0.79 -0.02 -2.58% 89,984 31.31 Mil -3.74 NA NA 7.12% Neutral Neutral Neutral B B C C
3 CDE COEUR D'ALENE MINES Corp 5 8 7.80 -0.31 -3.82% 1.43 Mil 807.49 Mil -1.13 NA NA 7.12% Neutral Neutral Neutral A C C C
4 CREE CREE INC 5 8 47.23 -1.48 -3.04% 1.89 Mil 5.76 Bil 47.30 NA NA 7.12% Neutral Neutral Neutral B B C C
5 EGHT 8X8 INC 5 8 8.08 -0.32 -3.75% 1.09 Mil 716.92 Mil -1,723.55 NA NA 7.12% Neutral Neutral Neutral D A D A
6 ESTE EARTHSTONE ENERGY Inc 5 8 35.05 -1.05 -2.91% 17,970 60.9 Mil 15.41 NA NA 7.12% Neutral Neutral Neutral C C A NA
7 FDML FEDERAL-MOGUL HOLDINGS CORPORATION 5 8 15.94 -0.53 -3.22% 199,687 2.39 Bil 47.49 NA NA 7.12% Neutral Neutral Neutral A D B C
8 KEYW THE KEYW HOLDING CORPORATION 5 8 13.10 -0.43 -3.18% 352,939 490.21 Mil -42.13 NA NA 7.12% Neutral Neutral Neutral F B A A
9 LTS LADENBURG THALMANN FINANCIAL SERVICES INC 5 8 3.13 -0.19 -5.72% 589,544 569.07 Mil -88.35 2.00 NA 7.12% Neutral Neutral Neutral B C C A
10 MNI MCCLATCHY COMPANY 5 8 4.83 -0.08 -1.63% 357,687 418.86 Mil 26.84 0.36 NA 7.12% Neutral Neutral Neutral B B C C
11 MTOR MERITOR Inc 5 8 12.57 -0.02 -0.16% 3.1 Mil 1.23 Bil 137.22 0.40 NA 7.12% Neutral Neutral Neutral A C C NA
12 OVAS OVASCIENCE INC 5 8 9.81 +0.22 +2.29% 150,064 237.43 Mil -5.45 NA NA 7.12% Neutral Neutral N/A B D A C
13 PNBK PATRIOT NATIONAL BANCORP INC 5 8 2.01 -0.02 -0.99% 46,730 78.71 Mil -15.41 0.18 NA 7.12% Neutral Neutral Neutral D B A C
14 QLIK QLIK TECHNOLOGIES Inc 5 8 26.46 -0.89 -3.25% 1.54 Mil 2.37 Bil -103.23 NA NA 7.12% Neutral Neutral Neutral A D A C
15 REDF REDIFF.COM INDIA Ltd 5 8 2.36 -0.12 -4.84% 207,114 69.90 Mil -10.08 NA NA 7.12% Neutral Neutral Neutral B B C C
16 SGK Schawk 5 8 20.80 +0.08 +0.39% 71,975 545.60 Mil 59.90 0.32 1.55 7.12% Neutral Neutral Neutral A C C C
17 SNX SYNNEX CORPORATION 5 8 64.50 -1.57 -2.38% 322,672 2.53 Bil 14.83 NA NA 7.12% Neutral Neutral Neutral A C B D
18 SOHU SOHU.COM INC 5 8 56.72 -1.24 -2.14% 457,690 2.18 Bil -18.33 NA NA 7.12% Neutral Neutral Neutral B B C C
19 SPLK SPLUNK Inc 5 8 47.02 -3.37 -6.69% 2.33 Mil 5.58 Bil -45.06 NA NA 7.12% Neutral Neutral Neutral C B B C
20 TUES TUESDAY MORNING CORP 5 8 16.46 -0.43 -2.55% 863,919 715.55 Mil -38.38 NA NA 7.12% Neutral Neutral Neutral B C B B
21 UCTT ULTRA CLEAN HOLDINGS Inc 5 8 8.67 -0.20 -2.25% 324,643 255.27 Mil 14.39 NA NA 7.12% Neutral Neutral Neutral B B C C
22 YNDX YANDEX N.V. CLASS A 5 8 30.28 -0.97 -3.10% 2.39 Mil 9.63 Bil 26.70 NA NA 7.12% Neutral Neutral Neutral B B C NA
23 ACLS AXCELIS TECHNOLOGIES INC 5 6 1.75 -0.01 -0.57% 407,082 194.60 Mil -24.00 NA NA 5.80% Neutral Neutral Neutral D C C A
24 ACTS ACTIONS SEMICONDUCTOR CO. Ltd. 5 6 2.12 unch unch 44,928 182.32 Mil -25.16 NA NA 5.80% Neutral Neutral Neutral F B B C
25 AMD ADVANCED MICRO DEVICES 5 6 3.91 +0.09 +2.36% 112.16 Mil 2.98 Bil 68.83 NA NA 5.80% Neutral Neutral Neutral C D B C
26 ARCB ARCBEST CORPORATION 5 6 31.73 -10.56 -24.97% 2.02 Mil 824.81 Mil 34.06 0.12 0.28 5.80% Neutral Neutral Neutral B C C D
27 AREX APPROACH RESOURCES Inc 5 6 21.04 -0.88 -4.01% 585,168 828.38 Mil 10.89 NA NA 5.80% Neutral Neutral Neutral D C B C
28 ASPS ALTISOURCE PORTFOLIO SOLUTIONS S.A. 5 6 108.38 -10.31 -8.69% 500,574 2.37 Bil 16.26 NA NA 5.80% Neutral Neutral Neutral C B D C
29 BLDR BUILDERS FIRSTSOURCE Inc 5 6 5.94 -0.29 -4.65% 713,033 582.12 Mil -16.89 NA NA 5.80% Neutral Neutral Neutral C B D C
30 BOFI BOFL HOLDING Inc 5 6 74.59 -0.33 -0.44% 342,690 1.06 Bil 21.07 NA NA 5.80% Neutral Neutral Neutral C B D B
31 BURL BURLINGTON STORES Inc 5 6 32.73 -0.52 -1.56% 346,811 2.42 Bil -108.76 NA NA 5.80% Neutral Neutral Neutral B D B C
32 CALX CALIX Inc 5 6 9.29 -0.21 -2.21% 486,816 467.55 Mil -21.92 NA NA 5.80% Neutral Neutral Neutral B C C D
33 CVCY CENTRAL VALLEY COMMUNITY BNCP 5 6 12.50 +0.01 +0.08% 1,627 136.59 Mil 15.10 0.20 1.60 5.80% Neutral Neutral Neutral B C D C
34 DCO DUCOMMUN INCORPORATED 5 6 27.65 -0.32 -1.14% 125,065 301.31 Mil 27.19 0.30 NA 5.80% Neutral Neutral Neutral B B D C
35 EPAM EPAM SYSTEMS Inc 5 6 38.66 -1.23 -3.08% 288,570 1.82 Bil 28.26 NA NA 5.80% Neutral Neutral Neutral B F B C
36 FF FUTURE FUEL CORPORATION 5 6 15.76 -0.45 -2.78% 167,009 683.16 Mil 10.32 0.44 2.96 5.80% Neutral Neutral Neutral F A C C
37 GSJK COMPRESSCO PARTNERS L.P. 5 6 22.08 -0.17 -0.76% 485,272 343.42 Mil 11.93 1.81 8.13 5.80% Neutral Neutral Neutral D B C NA
38 GYRO GYRODYNE CO OF AMERICA INC 5 6 5.06 -0.05 -1.04% 1,722 7.50 Mil 0.16 NA NA 5.80% Neutral Neutral Neutral D A D C
39 HCLP HI-CRUSH PARTNERS LP 5 6 61.17 -2.66 -4.17% 419,165 2.26 Bil 14.72 2.30 3.60 5.80% Neutral Neutral Neutral C F A NA
40 HMPR HAMPTON ROADS BKSHS NEW 5 6 1.65 -0.03 -1.79% 57,469 280.93 Mil 38.68 11.00 NA 5.80% Neutral Neutral Neutral C C C C
41 IEP ICAHN ENTERPRISES L.P 5 6 103.95 -2.27 -2.14% 125,624 12.32 Bil 16.64 6.00 5.65 5.80% Neutral Neutral Neutral D C B C
42 JOEZ JOE'S JEAN Inc 5 6 1.11 unch unch 342,120 76.80 Mil -38.81 NA NA 5.80% Neutral Neutral Neutral A D D C
43 MAMS MAM SOFTWARE GROUP Inc NEW 5 6 6.36 -0.13 -2.02% 1,150 91.59 Mil 32.34 NA NA 5.80% Neutral Neutral Neutral D C B NA
44 MLAB MESA LABORATORIES INC 5 6 76.47 -3.91 -4.86% 6,841 267.83 Mil 30.68 0.60 0.75 5.80% Neutral Neutral Neutral B D C C
45 MTRN MATERION CORPORATION 5 6 32.31 -0.86 -2.59% 172,200 665.40 Mil 33.39 0.34 1.03 5.80% Neutral Neutral Neutral C D B C
46 NATL NATIONAL INTERSTATE CORPORATION 5 6 27.09 +0.48 +1.80% 42,475 535.17 Mil 30.41 0.48 1.80 5.80% Neutral Neutral Neutral C C C C
47 NNBR NN INC 5 6 29.00 -0.49 -1.66% 204,346 514.73 Mil 25.91 0.28 0.95 5.80% Neutral Neutral Neutral D C A C
48 NTIC NORTHERN TECHNOLOGIES INTERNATIONAL Corp 5 6 20.49 +0.81 +4.10% 1,993 91.80 Mil 20.88 NA NA 5.80% Neutral Neutral Neutral C C C C
49 NYMX NYMOX PHARMACEUTICAL CORP 5 6 4.95 -0.06 -1.20% 19,626 173.05 Mil -26.60 NA NA 5.80% Neutral Neutral Neutral C B D C
50 ODP OFFICE DEPOT Inc 5 6 5.01 -0.01 -0.20% 6.27 Mil 2.68 Bil -10.29 NA NA 5.80% Neutral Neutral Neutral A F C C

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