Screener filters

Name Price/share Change Change % Market cap Trend Prev trend Trend change Sector Employees EPS PE Ratio (TTM) PEG Ratio (TTM) Dividend Yield (TTM) Earnings Yield (TTM) Net Profit Margin (TTM) Price/Book Ratio (TTM) Price/Sales Ratio (TTM) Return on Assets (TTM) Return on Equity (TTM)
American Express Company AXP
$301.46 $-1.14 -0.38% $212.36B Financial Services 64K $13.59 21.81 4.25 0.89% 4.59% 14.41% 7.26 3.13 3.65% 34.09%
Automatic Data Processing, Inc. ADP
$300.98 $-2.51 -0.83% $122.64B Industrials 60K $9.35 32.53 23.26 1.82% 3.07% 19.71% 23.41 6.41 7.77% 81.71%
Essex Property Trust, Inc. ESS
$300.55 $-0.84 -0.28% $19.32B Real Estate 2K $8.55 36.29 1.29 3.11% 2.76% 31.55% 3.67 11.46 4.34% 10.04%
Vanguard Total Stock Market Index Fund VTI
$300.43 $0.00 0.00% $623.01B - $10.63 - - - - - - - - -
Eagle Materials Inc. EXP
$299.48 $-3.12 -1.03% $10.05B Basic Materials 2K $14.15 21.36 1.88 0.32% 4.68% 21.32% 7.21 4.57 15.49% 35.66%
UFP Technologies, Inc. UFPT
$299.43 $-8.01 -2.61% $2.30B Healthcare 2K $6.98 26.56 -0.77 - 3.77% 12.86% 5.06 3.42 12.47% 20.45%
Primerica, Inc. PRI
$298.57 $-2.55 -0.85% $9.96B Financial Services 3K $19.94 16.28 0.08 1.24% 6.14% 16.99% 3.76 2.73 3.15% 25.58%
Manhattan Associates, Inc. MANH
$297.09 $10.72 3.74% $18.14B Technology 4K $3.52 79.04 15.81 - 1.27% 21.38% 62.30 16.87 31.38% 84.55%
Evercore Inc. EVR
$296.48 $-4.48 -1.49% $11.29B Financial Services 2K $7.79 36.78 -1.45 1.03% 2.72% 11.43% 7.57 4.18 8.99% 21.04%
McDonald's Corporation MCD
$294.50 $2.06 0.70% $211.04B Consumer Cyclical 100K $11.40 26.33 -47.57 2.77% 3.80% 31.79% -41.94 8.33 14.68% -168.78%
iShares S&P 100 ETF OEF
$292.38 $0.71 0.24% $11.40B - $8.67 - - - - - - - - -
Burlington Stores, Inc. BURL
$291.64 $0.87 0.30% $18.51B Consumer Cyclical 15K $7.39 38.09 -0.82 - 2.63% 4.49% 6.48 1.71 5.57% 32.09%
Rockwell Automation, Inc. ROK
$291.56 $-5.56 -1.87% $32.92B Industrials 26K $8.29 22.36 0.62 1.78% 4.47% 15.26% 8.68 3.41 12.23% 42.60%
Encore Wire Corporation WIRE
$289.84 $0.01 0.00% $4.58B Industrials 1K $19.04 7.03 0.14 0.04% 14.22% 17.52% 1.84 1.17 23.26% 25.60%
IES Holdings, Inc. IESC
$289.76 $-6.04 -2.04% $5.79B Industrials 8K $9.88 28.59 0.93 - 3.50% 7.60% 10.25 2.15 17.61% 39.80%
Verisk Analytics, Inc. VRSK
$289.05 $-3.65 -1.25% $40.82B Industrials 9K $6.47 43.77 2.66 0.55% 2.28% 30.16% 90.43 13.20 18.21% 127.31%
Humana Inc. HUM
$287.45 $-3.68 -1.26% $34.61B Healthcare 96K $11.47 26.26 -1.93 1.19% 3.81% 1.18% 2.03 0.31 2.72% 8.16%
Invesco S&P 500 Equal Weight Health Care ETF RYH
$287.06 $-0.35 -0.12% $953.16M - $13.24 - - - - - - - - -
State Street S&P 500 Index Fund Class N SVSPX
$286.54 $0.13 0.05% $1.50B - $10.47 - - - - - - - - -
Vulcan Materials Company VMC
$286.50 $-0.55 -0.19% $37.84B Basic Materials 12K $6.39 33.82 -9.59 0.82% 2.96% 10.75% 3.75 3.63 5.64% 11.56%
Dodge & Cox Funds - Dodge & Cox Stock Fund DODGX
$285.12 $-0.32 -0.11% $99.56B - $56.87 0.00 - 34.53% - 0.00% 0.00 0.00 0.00% 0.00%
Tractor Supply Company TSCO
$284.98 $-5.29 -1.82% $30.45B Consumer Cyclical 50K $10.29 19.00 1.31 1.56% 5.26% 7.58% 10.17 1.44 12.28% 55.43%
Marriott International, Inc. MAR
$284.93 $-1.31 -0.46% $79.18B Consumer Cyclical 120K $9.56 29.52 6.30 0.80% 3.39% 11.18% -93.39 3.21 17.69% -210.33%
FedEx Corporation FDX
$283.66 $0.81 0.29% $69.30B Industrials 345K $16.20 18.50 6.18 1.74% 5.41% 4.62% 2.75 0.84 4.67% 15.00%
Vanguard Mid Cap Index Fund VO
$283.09 $-0.50 -0.18% $174.08B - $12.31 - - - - - - - - -
Invesco S&P 500 Equal Weight Technology ETF RYT
$282.01 $-2.21 -0.78% $2.82B - $11.03 - - - - - - - - -
Neffs Bancorp, Inc. NEFB
$280.00 $0.00 0.00% $49.84M Financial Services - $28.56 10.82 3.27 4.15% 9.24% 26.92% 0.45 3.30 0.64% 4.25%
Vanguard Large Cap Index Fund VV
$278.15 $0.12 0.04% $29.95B - $9.04 - - - - - - - - -
General Dynamics Corporation GD
$278.09 $0.67 0.24% $76.47B Industrials 103K $13.12 21.42 6.73 1.96% 4.67% 7.90% 3.39 1.70 6.35% 16.59%
Hingham Institution for Savings HIFS
$277.51 $-1.49 -0.53% $605.04M Financial Services 75 $10.54 26.70 5.26 0.89% 3.75% 13.36% 1.46 3.57 0.52% 5.57%
Illinois Tool Works Inc. ITW
$275.91 $-0.08 -0.03% $81.48B Industrials 45K $11.56 23.78 24.02 2.05% 4.20% 21.66% 24.23 5.14 21.83% 111.60%
Vanguard Industrials Index Fund VIS
$275.81 $-1.67 -0.60% $6.74B - $9.51 - - - - - - - - -
Vanguard Russell 1000 Index Fund VONE
$275.75 $0.19 0.07% $7.40B - $9.36 - - - - - - - - -
Amgen Inc. AMGN
$275.44 $-2.82 -1.01% $148.06B Healthcare 24K $7.82 35.91 18.27 3.18% 2.78% 13.04% 20.18 4.69 4.65% 68.49%
Jones Lang LaSalle Incorporated 0JPB.L
$274.93 $1.24 0.45% $13.04B 102K $19.41 35.17 2.87 - 2.84% 1.76% 2.11 0.62 2.40% 6.12%
Applied Industrial Technologies, Inc. AIT
$274.67 $-3.08 -1.11% $10.56B Industrials 6K $9.80 27.47 2.29 0.54% 3.64% 8.57% 6.02 2.36 12.79% 22.86%
WD-40 Company WDFC
$274.35 $-2.42 -0.87% $3.72B Basic Materials 583 $5.12 47.72 5.37 1.43% 2.10% 12.28% 14.98 5.86 15.07% 32.81%
Jones Lang LaSalle Incorporated JLL
$273.78 $-5.18 -1.85% $12.99B Real Estate 102K $9.90 27.89 2.57 - 3.59% 2.12% 2.01 0.59 2.68% 7.46%
Vanguard Mid-Cap Growth Index Fund VOT
$271.29 $0.53 0.20% $26.52B - $7.61 - - - - - - - - -
Investors Title Company ITIC
$271.04 $-0.84 -0.31% $510.68M Financial Services 539 $15.09 18.91 1.58 0.48% 5.29% 11.83% 1.99 2.24 8.11% 10.99%
Lowe's Companies, Inc. LOW
$270.71 $-3.68 -1.34% $152.86B Consumer Cyclical 300K $12.02 22.54 0.84 1.65% 4.44% 8.19% -11.51 1.85 15.32% -48.23%
Vanguard Health Care Index Fund VHT
$270.65 $-1.00 -0.37% $14.70B - $11.03 - - - - - - - - -
Norfolk Southern Corporation NSC
$270.12 $-2.63 -0.96% $61.11B Industrials 18K $10.66 23.81 -4.67 2.49% 4.20% 21.16% 4.45 5.04 5.96% 19.78%
Insulet Corporation PODD
$269.66 $3.17 1.19% $18.92B Healthcare 2K $5.86 105.50 - - 0.95% 7.71% 20.84 8.13 4.86% 22.42%
Pioneer Natural Resources Company PXD
$269.62 $1.96 0.73% $63.00B Energy 2K $20.22 10.82 -0.23 6.94% 9.24% 26.22% 2.43 2.84 14.04% 22.92%
Vanguard Russell 3000 Index Fund VTHR
$269.51 $-0.07 -0.03% $4.10B - $9.55 - - - - - - - - -
Powell Industries, Inc. POWL
$268.93 $-5.87 -2.14% $3.23B Industrials 2K $12.28 26.87 0.39 1.26% 3.72% 5.64% 3.05 1.51 5.49% 12.02%
HEICO Corporation HEI
$268.45 $0.49 0.18% $32.20B Industrials 6K $3.40 79.24 8.86 0.08% 1.26% 12.64% 10.70 8.66 6.44% 14.28%
AppFolio, Inc. APPF
$268.38 $0.32 0.12% $10.14B Technology 2K $3.70 70.00 0.57 - 1.43% 17.26% 22.32 12.58 25.15% 37.03%
SPDR S&P 1500 Momentum Tilt ETF MMTM
$268.38 $0.73 0.27% $120.98M - $9.49 0.00 - 11.00% - 0.00% 0.00 0.00 0.00% 0.00%