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.

124
124 rated 1
282
282 rated 2
455
455 rated 3
624
624 rated 4
642
642 rated 5
665
665 rated 6
610
610 rated 7
460
460 rated 8
287
287 rated 9
167
167 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 CWH COMMONWEALTH REIT 5 4 26.93 +0.12 +0.45% 1.01 Mil 3.19 Bil 2,822.56 1.00 3.73 1.93% Neutral Out of Favor Neutral F B C NA
2 CSPI CSP Inc 5 3 7.44 -0.12 -1.59% 9,072 26.70 Mil 1,437.26 0.44 5.82 2.87% Out of Favor Out of Favor Neutral F D B C
3 ATHN ATHENAHEALTH Inc 5 6 126.36 +1.97 +1.58% 502,649 4.80 Bil 1,196.21 NA NA 5.80% Neutral Out of Favor Neutral A B D D
4 SPSC SPS COMMERCE Inc 5 8 55.45 +1.07 +1.97% 54,912 898.48 Mil 735.45 NA NA 7.12% Neutral Out of Favor Neutral C A C C
5 ARRS ARRIS GROUP INC 5 4 34.01 +1.29 +3.94% 3.26 Mil 4.89 Bil 711.63 NA NA 1.93% Neutral Out of Favor Neutral D C C C
6 BIRT ACTUATE Corp 5 6 4.34 -0.04 -0.91% 90,916 199.89 Mil 529.40 NA NA 5.08% Neutral Out of Favor Neutral F B C A
7 AMZG AMERICAN EAGLE ENERGY Corp 5 8 6.43 +0.12 +1.90% 134,673 195.57 Mil 488.90 NA NA 7.12% Neutral Neutral Neutral C A C C
8 SATS ECHOSTAR CORPORATION 5 2 52.22 +0.79 +1.54% 195,406 4.75 Bil 408.30 NA NA 1.84% Neutral Neutral Neutral F D D C
9 SBUX STARBUCKS CORP 5 4 78.74 +1.13 +1.46% 3.23 Mil 59.28 Bil 392.17 1.04 1.34 1.45% Neutral Neutral Neutral D B C F
10 INVN INVENSENSE Inc 5 6 25.18 +1.03 +4.27% 4.25 Mil 2.22 Bil 370.06 NA NA 5.08% Neutral Out of Favor Neutral F NA A C
11 SKUL SKULLCANDY Inc 5 7 7.26 +0.07 +0.97% 84,135 203.36 Mil 367.97 NA NA 6.43% Neutral Neutral Neutral B C C C
12 MCHX MARCHEX Inc CLASS B 5 8 11.78 +0.03 +0.26% 141,131 498.55 Mil 331.14 0.08 0.68 7.12% Neutral Out of Favor Neutral B NA B C
13 TISA TOP IMAGE SYSTEMS Ltd 5 6 4.23 -0.04 -0.86% 24,281 51.55 Mil 215.54 NA NA 5.08% Out of Favor Out of Favor Neutral C B D NA
14 AWAY HOMEAWAY Inc 5 5 33.13 +0.72 +2.22% 967,406 3.10 Bil 178.52 NA NA 4.20% Neutral Neutral Neutral C B D D
15 CART CAROLINA TRUST BANK 5 6 4.96 unch unch 25,654 22.99 Mil 157.50 NA NA 5.08% Out of Favor Out of Favor N/A C C NA C
16 CTS CTS CORPORATION 5 2 18.16 +0.09 +0.50% 46,905 613.85 Mil 152.18 0.16 0.89 1.84% Neutral Neutral Neutral F NA C C
17 CCI CROWN CASTLE INTL. Corp 5 4 75.54 +0.46 +0.61% 1.91 Mil 25.21 Bil 151.98 1.40 1.86 1.45% Neutral Out of Favor Neutral D NA C C
18 ABMD ABIOMED INC 5 6 25.77 +0.49 +1.94% 198,072 1.03 Bil 145.86 NA NA 5.80% Neutral Out of Favor Neutral C C B C
19 HAYN HAYNES INTERNATIONAL Inc 5 3 52.93 +0.14 +0.27% 63,894 656.49 Mil 141.47 0.88 1.67 2.56% Neutral Neutral Neutral F C C D
20 RTEC RUDOLPH TECHNOLOGIES INC 5 4 9.85 -0.04 -0.40% 100,148 327.32 Mil 140.33 NA NA 1.93% Neutral Out of Favor Neutral F C C C
21 MTSN MATTSON TECHNOLOGY INC 5 6 2.27 +0.02 +0.89% 241,072 166.77 Mil 140.24 NA NA 5.08% Neutral Out of Favor Neutral B NA D C
22 RELL RICHARDSON ELECTRONICS Ltd 5 1 10.35 -0.04 -0.39% 28,052 145.16 Mil 139.39 0.24 2.31 1.86% Neutral Out of Favor Neutral F NA D C
23 WM WASTE MANAGEMENT Inc 5 4 44.51 +0.03 +0.07% 1.15 Mil 20.71 Bil 132.37 1.50 3.37 1.45% Neutral Neutral Neutral B F C D
24 BCO THE BRINK'S COMPANY 5 4 27.59 +0.11 +0.40% 432,571 1.34 Bil 127.54 0.40 1.46 1.93% Neutral Neutral Neutral F C B NA
25 LVLT LEVEL 3 COMMUNICATIONS INC 5 3 45.37 -0.07 -0.15% 1.34 Mil 10.77 Bil 127.36 NA NA 2.87% Neutral Out of Favor Neutral B F C F
26 ELOS SYNERON MEDICAL Ltd 5 6 10.06 +0.05 +0.50% 123,022 368.50 Mil 122.35 NA NA 5.80% Neutral Out of Favor Neutral C C C C
27 CTCT CONSTANT CONTRACT Inc 5 5 32.84 +0.66 +2.05% 154,415 1.03 Bil 119.85 NA NA 4.25% Neutral Neutral Neutral C C B F
28 BDBD BOULDER BRANDS Inc 5 6 12.74 +0.07 +0.55% 329,867 775.79 Mil 116.10 NA NA 5.80% Neutral Out of Favor Neutral D C B C
29 AYR AIRCASTLE LIMITED 5 2 17.78 +0.36 +2.07% 318,293 1.44 Bil 113.84 0.80 4.59 1.84% Neutral Neutral Neutral F C D NA
30 PCTI PC-TEL INC 5 4 7.73 +0.02 +0.26% 31,140 144.00 Mil 113.49 0.16 2.08 1.93% Neutral Out of Favor Neutral D C C C
31 PSXP PHILLIPS 66 PARTNERS LP 5 7 68.91 +0.36 +0.53% 47,375 5.10 Bil 111.29 1.10 1.59 6.43% Neutral Neutral Neutral D B B C
32 PZN PZENA INVESTMENT MANAGEMENT Inc CLASS A 5 6 10.81 +0.31 +2.95% 23,690 704.70 Mil 104.38 0.12 1.14 5.80% Neutral Out of Favor Neutral C C C C
33 RNO RHINO RESOURCES Inc 5 3 14.16 +0.24 +1.72% 45,883 411.75 Mil 103.19 1.78 12.57 2.56% Neutral Neutral Neutral F D B C
34 WBMD WEBMD HEALTH Corp 5 7 50.04 +0.10 +0.20% 639,957 1.94 Bil 101.76 NA NA 6.43% Neutral Out of Favor Neutral A C D NA
35 PEGI PATTERN ENERGY GROUP Inc CLASS A 5 3 34.19 +0.32 +0.94% 209,626 1.75 Bil 101.45 1.29 3.77 2.56% Neutral Neutral Neutral D F B NA
36 MN MANNING & NAPIER Inc 5 4 16.96 -0.02 -0.12% 47,216 231.49 Mil 97.69 0.64 3.77 1.93% Neutral Out of Favor Neutral C D C C
37 TLK PT TELEKOMUNIKASI INDONESIA 5 4 46.64 -0.03 -0.06% 116,604 117.53 Bil 90.71 1.40 2.99 1.93% Neutral Neutral Neutral F D A C
38 NGL NGL ENERGY PARTNERS LP 5 4 43.51 +1.09 +2.57% 462,190 3.51 Bil 88.16 2.21 5.07 1.45% Neutral Neutral Neutral C D B F
39 QIHU QIHOO 360 TECHNOLOGY CO. Ltd. 5 8 95.04 +4.48 +4.95% 3.23 Mil 11.97 Bil 86.28 NA NA 7.12% Neutral Out of Favor Neutral A B D C
40 KONA KONA GRILL Inc 5 6 18.60 +0.21 +1.14% 38,976 160.23 Mil 83.76 NA NA 5.08% Neutral Neutral Neutral C C C C
41 EXFO EXFO Inc 5 7 4.62 -0.08 -1.70% 3,450 278.8 Mil 83.44 NA NA 6.43% Neutral Out of Favor Neutral B B D NA
42 REXX REX ENERGY CORPORATION 5 6 15.17 +0.31 +2.09% 920,581 820.78 Mil 82.30 NA NA 5.80% Neutral Neutral Neutral A C F C
43 MIND MITCHAM INDUSTRIES INC 5 7 13.58 +0.13 +0.97% 33,942 172.19 Mil 81.23 NA NA 6.43% Neutral Neutral Neutral B C C C
44 ABCO ADVISORY BOARD CO/THE 5 3 50.25 +0.35 +0.70% 124,937 1.84 Bil 75.00 NA NA 2.87% Neutral Neutral Neutral C F C D
45 AUDC AUDIOCODES Ltd 5 7 7.26 +0.15 +2.11% 126,632 281.21 Mil 74.02 NA NA 4.05% Neutral Out of Favor Neutral C C B C
46 TRIP TRIPADVISOR Inc 5 7 104.17 +1.03 +1.00% 1.48 Mil 14.86 Bil 71.70 NA NA 4.05% Neutral Neutral Neutral D B B C
47 TYL TYLER TECHNOLOGIES Inc 5 5 87.00 +0.72 +0.83% 117,316 2.87 Bil 71.62 NA NA 3.81% Neutral Out of Favor Neutral C B D D
48 GFN GENERAL FINANCE CORPORATION 5 4 9.38 +0.15 +1.63% 48,955 240.02 Mil 70.73 NA NA 1.93% Neutral Out of Favor Neutral F C B C
49 MIL MFC INDUSTRIAL Ltd. 5 4 7.81 +0.04 +0.51% 102,075 488.53 Mil 69.75 0.24 3.09 2.31% Neutral Neutral Neutral D B D C
50 THST TRUETT-HURST Inc CLASS A COMMON STOCK 5 6 5.80 +0.05 +0.87% 11,401 20.88 Mil 68.91 NA NA 5.08% Out of Favor Neutral Neutral D C B C

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