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.

114
114 rated 1
278
278 rated 2
474
474 rated 3
641
641 rated 4
639
639 rated 5
663
663 rated 6
640
640 rated 7
499
499 rated 8
284
284 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
51 PRLS PEERLESS SYSTEMS CORP 5 4 3.63 -0.05 -1.36% 400 9.93 Mil -10.13 NA NA 1.45% Neutral Neutral In Favor D B D C
52 PSTR POSIROCK ENERGY CORPORATION 5 7 1.17 -0.04 -3.39% 8,584 35.43 Mil -1.10 NA NA 4.05% Neutral In Favor In Favor A D C C
53 PTEK POKERTEK Inc 5 6 1.32 unch unch 59,128 12.44 Mil -10.22 NA NA 5.80% Neutral Neutral In Favor C B D NA
54 PZZI PIZZA INN HOLDINGS INC 5 6 8.05 +0.03 +0.37% 6,128 70.58 Mil -36.92 NA NA 5.80% Neutral Neutral In Favor F B B C
55 RDCM RADCOM Ltd. 5 6 5.83 +0.03 +0.52% 10,601 46.33 Mil -64.92 NA NA 5.08% Neutral Neutral In Favor F B B NA
56 REDF REDIFF.COM INDIA Ltd 5 7 2.40 +0.04 +1.69% 33,790 65.94 Mil -8.83 NA NA 4.05% Neutral Neutral In Favor C B C C
57 RMCF ROCKY MOUNTAIN CHOC FACT INC 5 4 12.83 -0.13 -0.97% 5,364 79.69 Mil 21.20 0.44 3.40 1.45% Neutral Neutral In Favor C D C C
58 SANW S&W SEED COMPANY 5 7 5.45 -0.25 -4.39% 45,813 65.00 Mil -57.07 NA NA 4.05% Neutral Neutral In Favor C B C C
59 SGRP SPAR GROUP INC 5 7 1.42 +0.01 +0.71% 5,670 29.22 Mil 8.52 NA NA 4.05% Neutral Neutral In Favor C B C NA
60 SMED SHARPS COMPLIANCE CORP 5 7 4.36 -0.05 -1.04% 3,700 66.73 Mil 70.30 NA NA 6.43% Neutral Neutral In Favor A C D C
61 SOCB SOUTHCOAST FINANCIAL CORP 5 4 7.16 -0.03 -0.38% 2,100 50.81 Mil 21.36 NA NA 2.31% Neutral Neutral N/A D C C NA
62 SSN SAMSON OIL & GAS LIMITED 5 5 0.40 +0.01 +1.28% 103,606 56.33 Mil -16.90 NA NA 4.25% Neutral In Favor In Favor NA B D NA
63 TAYD TAYLOR DEVICES INC 5 2 8.61 +0.05 +0.59% 1,600 28.79 Mil 22.74 NA NA 1.84% Neutral In Favor In Favor F D C NA
64 TIPT TIPTREE FINANCIAL Inc 5 6 7.10 -0.14 -1.93% 803 295.31 Mil 11.93 0.08 1.10 5.80% Neutral Neutral In Favor C C C C
65 TISA TOP IMAGE SYSTEMS Ltd 5 7 3.96 -0.06 -1.49% 13,234 48.22 Mil 47.54 NA NA 4.05% Neutral Neutral In Favor A C D NA
66 TRNS TRANSCAT INC 5 3 8.95 +0.17 +1.94% 5,440 59.97 Mil 17.12 NA NA 2.56% Neutral Neutral In Favor D C D C
67 TRT TRIO-TECH INTERNATIONAL 5 6 5.17 -0.12 -2.27% 15,447 18.16 Mil 344.53 NA NA 5.08% Neutral Neutral In Favor C C C C
68 UUU UNIVERSAL SECURITY INSTRUMENTS INC 5 3 3.98 0.00 -0.05% 600 9.21 Mil -1.77 NA NA 2.56% Neutral Neutral N/A F C C C
69 VIDE VIDEO DISPLAY CORP 5 4 3.25 unch unch 306 21.11 Mil -4.92 NA NA 2.31% Neutral Neutral In Favor F B C C
70 WEBK WELLESLEY BANCORP Inc 5 2 19.03 +0.21 +1.12% 5,041 46.67 Mil 23.35 0.10 0.53 1.84% Neutral Neutral N/A F C NA NA
71 WVFC WVS FINANCIAL CORP 5 4 10.90 -0.19 -1.71% 100 22.43 Mil 25.75 0.16 1.44 2.31% Neutral Neutral N/A D C NA NA
72 XRSC XRS CORPORATION COMMON STOCK 5 5 5.52 +2.49 +82.21% 996,404 61.99 Mil -91.23 NA NA 3.81% Neutral Neutral In Favor NA D B C
73 AAON AAON INC 5 3 18.19 -0.46 -2.47% 136,891 999.76 Mil 25.60 0.17 0.82 2.87% In Favor In Favor In Favor D C D NA
74 AAWW ATLAS AIR WORLDWIDE HOLDINGS Inc 5 6 33.48 +0.05 +0.15% 67,325 844.13 Mil 9.23 NA NA 5.80% In Favor In Favor In Favor B D C C
75 ACAT ARCTIC CAT INC 5 6 37.00 -0.02 -0.05% 31,729 478.13 Mil 13.26 0.50 1.35 5.80% In Favor In Favor In Favor D A D C
76 ACN ACCENTURE PLC 5 4 81.01 -0.06 -0.07% 739,318 53.50 Bil 19.40 1.86 2.29 1.45% In Favor Neutral In Favor C D C D
77 ACOR ACORDA THERAPEUTICS Inc 5 3 32.32 -0.24 -0.74% 105,450 1.34 Bil 71.04 NA NA 2.87% In Favor Neutral In Favor F C C NA
78 ACW ACCURIDE CORP 5 6 4.61 +0.05 +1.10% 56,275 219.51 Mil -47.08 NA NA 5.08% In Favor In Favor In Favor A D D C
79 AEE AMEREN CORPORATION 5 4 39.36 -0.63 -1.58% 564,219 9.56 Bil 16.06 1.60 4.00 1.45% In Favor In Favor In Favor C F B C
80 AEIS ADVANCED ENERGY INDUSTRIES INC 5 6 19.35 +0.13 +0.68% 236,626 772.33 Mil 13.26 NA NA 5.08% In Favor Neutral In Favor D C B C
81 AHC A.H. BELO CORPORATION 5 7 11.59 +0.18 +1.58% 23,483 255.08 Mil 9.89 0.32 2.78 6.43% In Favor Neutral In Favor B B D C
82 AHS AMN HEALTHCARE SERVICES 5 5 15.22 +0.11 +0.73% 118,259 706.82 Mil 22.87 NA NA 3.81% In Favor Neutral In Favor C D A F
83 AKG ASANKO GOLD Inc 5 6 2.29 -0.04 -1.72% 33,296 396.34 Mil -20.09 NA NA 5.08% In Favor Neutral N/A C D B C
84 ALGN ALIGN TECHNOLOGY INC 5 6 55.19 +0.74 +1.36% 276,789 4.45 Bil 31.73 NA NA 5.08% In Favor Neutral In Favor B B C D
85 ALKS ALKERMES Inc PLC 5 3 44.00 -0.75 -1.68% 450,045 6.43 Bil 320.54 NA NA 2.87% In Favor Neutral In Favor F B C F
86 ALSK ALASKA COMMUNICATIONS SYSTEMS 5 6 1.79 +0.03 +1.70% 47,818 88.11 Mil 0.85 0.20 NA 4.78% In Favor Neutral In Favor D B C C
87 ALTR ALTERA CORP 5 4 35.21 -0.12 -0.34% 945,927 10.88 Bil 24.36 0.72 2.04 2.31% In Favor Neutral In Favor C F B C
88 ALXN ALEXION PHARMACEUTICALS INC 5 6 168.76 -0.37 -0.22% 324,892 33.42 Bil 84.88 NA NA 5.80% In Favor Neutral In Favor B B C D
89 AMD ADVANCED MICRO DEVICES 5 5 4.18 +0.01 +0.12% 8.7 Mil 3.20 Bil 39.15 NA NA 4.20% In Favor Neutral In Favor C D B D
90 AMOT ALLIED MOTION TECHNOLOGIES INC 5 7 17.24 +0.97 +5.96% 75,080 158.65 Mil 22.13 0.10 0.61 4.05% In Favor Neutral In Favor C C B C
91 AMRC AMERESCO Inc 5 6 8.32 -0.09 -1.07% 14,553 386.03 Mil 698.42 NA NA 5.08% In Favor In Favor In Favor D C C B
92 AMRI ALBANY MOLECULAR RESEARCH INC 5 5 19.29 -0.51 -2.58% 271,739 624.98 Mil 37.58 NA NA 4.25% In Favor Neutral In Favor B C C F
93 AMSF AMERISAFE Inc 5 3 37.27 -0.46 -1.22% 11,774 698.49 Mil 13.99 0.48 1.27 2.56% In Favor Neutral In Favor C D D D
94 AMZN AMAZON.COM INC 5 6 339.70 +0.71 +0.21% 1 Mil 156.88 Bil 869.47 NA NA 4.78% In Favor Neutral In Favor C C B D
95 AN AUTONATION Inc 5 4 54.00 -0.33 -0.61% 576,782 6.41 Bil 16.59 NA NA 2.31% In Favor In Favor In Favor B D D C
96 ANH ANWORTH MORTGAGE ASSET 5 4 5.14 -0.04 -0.77% 167,259 626.15 Mil 15.47 0.56 10.79 2.31% In Favor Neutral In Favor C D C C
97 AOL AOL Inc 5 5 43.88 +0.65 +1.49% 305,427 3.45 Bil 48.37 NA NA 4.20% In Favor Neutral In Favor B F B D
98 AP AMPCO-PITTSBURGH Corp 5 6 21.45 +0.21 +0.99% 11,124 223.59 Mil 18.02 0.72 3.39 4.78% In Favor Neutral In Favor B D C C
99 APAGF APCO OIL AND GAS INTERNATIONAL Inc 5 3 13.96 -0.28 -1.93% 4,906 410.85 Mil 78.65 0.08 NA 2.87% In Favor In Favor In Favor F C C C
100 APAM ARTISAN PARTNERS ASSET MANAGEMENT Inc 5 3 55.31 -0.13 -0.23% 81,979 4.03 Bil -49.16 2.20 3.97 2.87% In Favor Neutral In Favor B D D F

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