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This stock screener allows you to filter by our proprietary Stock Ratings, valuation and many fundamental criteria. Add more criteria by clicking on the “Add Criteria” link.

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Stock Screener

The Super Stock Screener is very powerful because it allows you to add our Stock Ratings to your filter criteria. Choose your criteria and click the Get Results button.


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Companies: 2191 - 2205 of 5616
Company Rating Prev. Rating Exchange Sector Price Market Cap Dividend Yield Price/Earnings
  Verve Therapeutics Inc (VERV) Register Now! Register Now! M - Nasdaq Health Care $6.00 887.6M - -
  Protagonist Therapeutics Inc (PTGX) Register Now! Register Now! M - Nasdaq Health Care $25.56 886.5M - -
  Select Water Solutions Inc (WTTR) Register Now! Register Now! N - New York Energy $9.12 884.4M 3.10% 16.7
  United Natural Foods Inc (UNFI) Register Now! Register Now! N - New York Capital Goods $9.04 883.9M - 45.6
  NeoGames SA (NGMS) Register Now! Register Now! M - Nasdaq Technology $29.45 883.5M - -
  Establishment Labs Holdings In (ESTA) Register Now! Register Now! M - Nasdaq Health Care $50.61 881.8M - -
  Golden Heaven Group Holdings L (GDHG) Register Now! Register Now! M - Nasdaq Consumer Cyclical $0.34 879.8M - 60.2
  Digi International Inc (DGII) Register Now! Register Now! M - Nasdaq Technology $30.72 878M - 31.3
  indie Semiconductor Inc (INDI) Register Now! Register Now! M - Nasdaq Technology $5.48 877.4M - -
  Federal National Mortgage Asso (FNMA) Register Now! Register Now! O - Over the counter Financial $1.52 873.4M - 749.5
  Steel Partners Holdings LP (SPLP) Register Now! Register Now! N - New York Basic Materials $35.38 873.3M - 5.2
  ACM Research Inc (ACMR)
Hold/Sell
Strong Sell
M - Nasdaq Technology $24.92 872.7M - 14.7
  Rev Group Inc (REVG) Register Now! Register Now! N - New York Capital Goods $21.91 872.4M 1.30% 37.4
  Scholar Rock Holding Corp (SRRK) Register Now! Register Now! M - Nasdaq Health Care $14.96 870.7M - -
  GrafTech International Ltd (EAF) Register Now! Register Now! N - New York Capital Goods $1.67 870.6M 1.30% 6.0
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