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.

112
112 rated 1
288
288 rated 2
479
479 rated 3
645
645 rated 4
644
644 rated 5
653
653 rated 6
638
638 rated 7
483
483 rated 8
288
288 rated 9
123
123 rated 10
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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 WAIR WESCO AIRCRAFT HOLDINGS Inc 5 4 18.33 +0.31 +1.72% 499,473 1.78 Bil 16.60 NA NA 2.31% Neutral Neutral Neutral A D F NA
52 WPP WAUSAU PAPER CORPORATION 5 5 8.98 +0.31 +3.58% 300,295 448.74 Mil -24.76 0.12 1.38 3.81% Neutral Neutral Neutral C C F B
53 AAON AAON INC 5 3 19.10 -0.02 -0.10% 121,782 1.05 Bil 26.90 0.17 0.80 2.87% Neutral Neutral Neutral D C D NA
54 ABT ABBOTT LABORATORIES 5 4 42.54 +0.31 +0.73% 2.96 Mil 63.97 Bil 30.50 0.88 2.08 2.31% Neutral Neutral Neutral A F D C
55 AGO ASSURED GUARANTY Ltd 5 6 23.63 -0.18 -0.76% 1.41 Mil 4.00 Bil 4.61 0.44 1.85 4.78% Neutral Neutral Neutral A A D F
56 AMNB AMERICAN NATIONAL BANKSHARES INC 5 3 21.79 +0.30 +1.40% 11,382 170.84 Mil 12.23 0.92 4.28 2.56% Neutral Neutral Neutral D C D C
57 AMRC AMERESCO Inc 5 5 8.37 -0.03 -0.36% 109,746 387.88 Mil 701.77 NA NA 4.25% Neutral Neutral Neutral D C D B
58 AMWD AMERICAN WOODMARK CORP 5 3 36.88 +5.55 +17.71% 608,887 572.18 Mil 28.21 0.36 NA 2.87% Neutral Neutral Neutral D C D D
59 AN AUTONATION Inc 5 4 54.55 +0.35 +0.65% 1.27 Mil 6.47 Bil 16.73 NA NA 2.31% Neutral Neutral Neutral B D D C
60 APAM ARTISAN PARTNERS ASSET MANAGEMENT Inc 5 3 55.66 -0.72 -1.28% 441,547 4.06 Bil -49.46 2.20 3.95 2.87% Neutral Neutral Neutral B F D NA
61 ARRY ARRAY BIOPHARMA INC 5 6 3.93 -0.04 -1.01% 664,853 518.06 Mil -5.69 NA NA 5.08% Neutral Neutral Neutral C B D C
62 ASCMA ASCENT CAPITAL GROUP Inc SERIES A 5 3 64.68 -0.38 -0.58% 39,090 891.43 Mil -19.92 NA NA 2.56% Neutral Neutral Neutral F B D C
63 ASUR ASURE SOFTWARE INC 5 7 5.51 -0.11 -1.99% 13,319 32.95 Mil -64.63 NA NA 6.43% Neutral Neutral Neutral A C D NA
64 ATHN ATHENAHEALTH Inc 5 6 133.93 +0.78 +0.59% 286,188 5.08 Bil 1,267.87 NA NA 5.80% Neutral Neutral Neutral A B D D
65 ATRC ATRICURE Inc 5 8 16.11 +0.31 +1.96% 142,158 442.56 Mil -20.69 NA NA 7.12% Neutral Neutral Neutral A B D C
66 AVAV AEROVIRONMENT Inc 5 5 31.69 -0.45 -1.40% 259,229 734.47 Mil 52.48 NA NA 3.81% Neutral Neutral Neutral B D D C
67 AVX AVX CORPORATION 5 4 13.59 -0.03 -0.22% 98,599 2.28 Bil 16.35 0.38 2.79 1.45% Neutral Neutral Neutral B D D D
68 AYR AIRCASTLE LIMITED 5 2 19.24 +0.08 +0.42% 413,292 1.56 Bil -84.26 0.80 4.18 1.84% Neutral Neutral Neutral D D D NA
69 BANX STONECASTLE FINANCIAL CORPORATION 5 1 24.81 -0.18 -0.72% 7,151 116.54 Mil NA NA NA 1.38% Neutral Neutral N/A F NA D NA
70 BBGI BEASLEY BROADCASTING GROUP INC 5 6 6.14 -0.08 -1.29% 5,894 141.92 Mil 13.42 0.18 2.89 5.08% Neutral Neutral Neutral C B D C
71 BBNK BRIDGE CAPITAL HOLDINGS 5 4 22.04 -0.47 -2.09% 22,092 349.84 Mil 19.48 NA NA 2.31% Neutral Neutral Neutral C C D D
72 BBRG BRAVO BRIO RESTAURANT GROUP Inc 5 3 14.50 -0.02 -0.14% 72,114 275.75 Mil 45.61 NA NA 2.56% Neutral Neutral Neutral C D D C
73 BBX BBX CAPITAL CORP 5 6 18.98 +0.08 +0.42% 32,012 328.04 Mil 4.83 0.50 NA 4.78% Neutral Neutral Neutral B C D C
74 BCS BARCLAYS PLC 5 3 14.84 -0.02 -0.13% 1.91 Mil 60.93 Bil 32.37 0.26 1.78 2.56% Neutral Neutral N/A NA C D C
75 BGC GENERAL CABLE Corp 5 5 21.38 +0.06 +0.28% 404,274 1.04 Bil -3.27 0.72 3.38 3.81% Neutral Neutral Neutral C D D B
76 BGG BRIGGS & STRATTON Corp 5 4 20.86 +0.23 +1.11% 496,388 974.67 Mil -28.26 0.48 2.33 2.31% Neutral Neutral Neutral B D D C
77 BIIB BIOGEN IDEC Inc 5 6 345.84 +1.24 +0.36% 815,746 81.67 Bil 38.45 NA NA 4.78% Neutral Neutral Neutral B B D C
78 BKJ BANCORP OF NEW JERSEY Inc 5 4 11.64 -0.36 -3.00% 230 62.50 Mil 14.51 0.24 2.06 2.31% Neutral Neutral N/A D B D NA
79 BRC BRADY CORPORATION 5 3 26.50 +0.04 +0.15% 96,077 1.36 Bil -10.65 0.78 2.95 2.56% Neutral Neutral Neutral D D D C
80 BSET BASSETT FURNITURE INDUSTRIES I 5 6 14.53 +0.04 +0.28% 20,006 154.47 Mil 28.35 0.32 2.21 5.08% Neutral Neutral Neutral C B D C
81 CAKE CHEESECAKE FACTORY (THE) 5 4 45.04 +0.37 +0.82% 467,564 2.23 Bil 21.15 0.66 1.48 1.45% Neutral Neutral Neutral C C D C
82 CCO CLEAR CHANNEL OUTDOOR HOLDINGS Inc 5 3 7.03 -0.11 -1.54% 92,244 2.53 Bil -87.05 NA NA 2.87% Neutral Neutral Neutral B F D C
83 CCUR CONCURRENT COMPUTER Corp 5 4 7.23 unch unch 18,312 66.97 Mil 12.55 0.48 6.64 2.31% Neutral Neutral Neutral C C D C
84 CDNS CADENCE DESIGN SYSTEMS 5 4 17.39 +0.16 +0.90% 2.34 Mil 5.04 Bil 39.31 NA NA 2.31% Neutral Neutral Neutral B C D F
85 CEMI CHEMBIO DIAGNOSTICS Inc 5 3 3.49 -0.01 -0.43% 14,575 33.54 Mil 400.24 NA NA 2.87% Neutral Neutral Neutral D C D C
86 CERS CERUS CORP 5 6 3.76 -0.06 -1.57% 340,952 278.42 Mil -7.86 NA NA 5.08% Neutral Neutral Neutral C B D C
87 CFBK CENTRAL FEDERAL CORPORATION 5 2 1.43 -0.01 -0.69% 15,390 22.63 Mil -70.27 1.00 NA 1.84% Neutral Neutral Neutral F C D NA
88 CFNB CALIFORNIA FIRST NATIONAL BANC 5 2 14.35 -0.02 -0.14% 3,317 150.10 Mil 21.10 0.40 2.78 1.84% Neutral Neutral Neutral D D D C
89 CHEF THE CHEF'S WAREHOUSE INC 5 3 17.68 -0.16 -0.90% 79,691 443.23 Mil 30.63 NA NA 2.87% Neutral Neutral Neutral C D D C
90 CIA CITIZENS Inc 5 3 7.22 +0.04 +0.56% 29,858 361.59 Mil 72.65 NA NA 2.87% Neutral Neutral Neutral NA C D C
91 CIMT CIMATRON Ltd 5 8 6.87 +0.11 +1.63% 78,830 73.72 Mil 13.94 0.62 2.22 7.12% Neutral Neutral Neutral B A D C
92 CISG CNINSURE INC 5 6 7.08 -0.05 -0.70% 113,887 353.60 Mil 18.21 0.24 NA 5.08% Neutral Neutral Neutral A D D C
93 CLRO CLEARONE Inc 5 3 9.60 +0.06 +0.63% 9,940 88.37 Mil 18.92 NA NA 2.56% Neutral Neutral Neutral D C D C
94 CPF CENTRAL PACIFIC FINANCIAL Corp (NEW) 5 4 17.58 -0.08 -0.45% 63,304 631.14 Mil 18.22 0.40 2.27 2.31% Neutral Neutral Neutral C C D C
95 CPHC CANTERBURY PARK HOLDING CORPORATION 5 3 9.86 +0.19 +1.96% 4,860 41.40 Mil 30.01 NA NA 2.56% Neutral Neutral Neutral D C D C
96 CPSS CONSUMER PORTFOLIO SERVICES 5 6 7.25 unch unch 77,735 183.33 Mil 8.80 NA NA 5.08% Neutral Neutral Neutral C B D C
97 CROX CROCS Inc 5 6 15.68 -0.02 -0.13% 1.31 Mil 1.34 Bil -49.20 NA NA 4.78% Neutral Neutral Neutral B D D A
98 CSS CSS INDUSTRIES Inc 5 6 25.31 +0.41 +1.65% 9,881 235.97 Mil 12.57 0.60 2.41 4.78% Neutral Neutral Neutral B C D C
99 CTG COMPUTER TASK GROUP Inc 5 3 13.86 -0.14 -1.00% 14,357 255.44 Mil 16.50 0.24 1.71 2.56% Neutral Neutral Neutral C D D C
100 CUB CUBIC CORPORATION 5 2 45.75 -0.45 -0.97% 112,705 1.23 Bil -211.63 0.24 0.52 1.84% Neutral Neutral Neutral D NA D D

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