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)
Equity Residential EQR
$73.46 $-0.33 -0.45% $27.87B Real Estate 2K $2.37 31.27 0.71 3.51% 3.20% 31.66% 2.68 9.92 4.44% 8.44%
Templeton Emerging Markets Fund EMF
$12.80 $0.09 0.71% $198.51M Financial Services - $1.86 6.75 0.10 5.77% 14.81% 144.70% 0.85 9.92 12.20% 13.17%
Innovative Industrial Properties, Inc. IIPR
$106.61 $-0.86 -0.80% $3.02B Real Estate 22 $5.61 18.87 0.13 6.82% 5.30% 52.51% 1.58 9.93 6.82% 8.37%
First Trust High Yield Opportunities 2027 Term Fund FTHY
$14.70 $-0.11 -0.74% $540.56M Technology - $1.47 10.02 0.10 9.55% 9.98% 98.30% 0.96 9.98 7.69% 9.57%
Value Line, Inc. VALU
$51.67 $-0.82 -1.56% $486.63M Financial Services 140 $2.12 21.37 0.51 2.60% 4.68% 46.77% 4.62 9.99 13.96% 22.28%
Eaton Vance Short Duration Diversified Income Fund EVG
$11.27 $-0.00 -0.02% $151.46M Financial Services - $1.28 8.66 0.07 8.48% 11.54% 115.59% 1.01 10.01 8.03% 11.96%
Realty Income Corporation O
$56.03 $-0.66 -1.16% $49.04B Real Estate 388 $1.05 57.07 0.57 5.41% 1.75% 17.57% 1.31 10.08 1.28% 2.36%
Paychex, Inc. PAYX
$144.49 $-0.96 -0.66% $52.00B Industrials 16K $4.68 31.53 15.84 3.83% 3.17% 31.98% 13.91 10.08 16.19% 45.53%
Eton Pharmaceuticals, Inc. ETON
$12.28 $0.09 0.74% $317.27M Healthcare 17 $-0.22 -63.93 -3.13 - - -15.81% 21.93 10.08 -15.29% -36.29%
Tekla Healthcare Investors HQH
$17.70 $0.08 0.44% $855.70M Financial Services - $1.31 14.84 -0.21 13.08% 6.74% 71.74% 0.88 10.17 5.89% 6.13%
Public Storage PSA
$336.09 $-7.98 -2.32% $58.85B Real Estate 6K $9.65 23.68 0.59 4.28% 4.22% 42.87% 4.47 10.17 9.59% 18.92%
Buffalo Early Stage Growth Fund BUFOX
$17.66 $0.02 0.11% $71.24M - $0.00 5.07 1.84 - 19.71% 967.88% 1.11 10.19 15.88% 23.53%
Vidler Water Resources, Inc. VWTR
$15.75 $0.00 0.00% $288.22M Utilities 14 $1.70 0.00 0.00 - - 116.59% 0.00 10.21 15.48% 17.01%
BNY Mellon Municipal Bond Infrastructure Fund, Inc. DMB
$11.00 $-0.06 -0.50% $202.37M Financial Services - $1.05 5.37 0.12 3.26% 18.64% 191.06% 0.68 10.25 11.15% 14.70%
PetVivo Holdings, Inc. PETV
$0.48 $0.00 0.00% $10.12M Healthcare 15 $-0.47 -0.93 -0.03 - - -1,036.51% 11.28 10.28 -349.91% -1,189.54%
PetVivo Holdings, Inc. PETVW
$0.05 $0.02 75.09% $9.67M Healthcare 2 $-0.48 -0.93 -0.03 - - -1,036.51% 11.28 10.28 -349.91% -1,189.54%
ShockWave Medical, Inc. SWAV
$334.75 $-0.08 -0.02% $12.57B Healthcare 657 $4.25 25.96 - - 3.85% 39.56% 10.26 10.29 31.01% 47.48%
BlackRock MuniHoldings New Jersey Quality Fund, Inc. MUJ
$11.85 $-0.07 -0.57% $630.35M Financial Services - $0.59 21.75 0.53 5.01% 4.60% 47.33% 0.90 10.30 2.54% 4.12%
NuScale Power Corporation SMR
$24.87 $-2.35 -8.63% $2.51B Utilities 436 $-0.95 4.80 - - 20.84% 208.14% 1.63 10.31 12.05% 18.36%
BioLife Solutions, Inc. BLFS
$25.21 $-1.17 -4.44% $1.17B Healthcare 432 $-1.09 -27.56 -2.81 - - -37.31% 3.90 10.33 -12.06% -13.97%
Clearside Biomedical, Inc. CLSD
$1.04 $0.02 1.61% $78.60M Healthcare 34 $-0.43 -2.46 0.59 - - -413.83% -2.26 10.34 -109.31% 126.50%
Western Asset Global High Income Fund Inc. EHI
$6.86 $0.02 0.37% $156.01M Financial Services 0 $0.83 6.43 0.14 12.26% 15.56% 163.53% 0.95 10.36 9.27% 14.81%
Mersana Therapeutics, Inc. MRSN
$2.37 $0.07 3.04% $292.77M Healthcare 169 $-0.60 -2.93 -0.36 - - -349.98% 36.45 10.37 -58.49% -333.91%
Sprout Social, Inc. SPT
$31.12 $-0.33 -1.05% $1.79B Technology 887 $-1.20 -60.78 - - - -17.00% 20.05 10.42 -15.17% -34.18%
Macquarie/First Trust Global Infrastructure/Utilities Dividend & Income Fund MFD
$8.45 $-0.19 -2.20% $72.23M Financial Services - $0.26 33.34 1.34 9.47% 3.00% 31.26% 1.01 10.42 2.17% 2.95%
Western Asset Emerging Markets Debt Fund Inc. EMD
$10.11 $-0.04 -0.35% $591.14M Financial Services - $1.21 5.05 -0.05 10.14% 19.80% 206.48% 0.96 10.43 13.61% 18.89%
Tortoise Energy Independence Fund, Inc. NDP
$43.50 $0.00 0.00% $72.47M Financial Services - $10.68 3.91 0.03 5.92% 25.56% 266.63% 1.07 10.43 23.69% 28.99%
Innovative Eyewear, Inc. LUCY
$7.52 $0.64 9.30% $18.37M Healthcare 9 $-10.10 -0.00 0.00 - - -110,597.74% 1.06 10.44 -14,891.91% -24,906.65%
AvePoint, Inc. AVPT
$18.84 $0.09 0.48% $3.53B Technology 2K $-0.05 -425.18 0.45 - - -2.42% 15.18 10.48 -1.65% -3.63%
Nuveen Municipal Credit Opportunities Fund NMCO
$11.25 $-0.06 -0.53% $616.52M - $0.14 80.85 8.08 5.98% 1.24% 12.97% 0.98 10.49 0.69% 1.29%
Farmland Partners Inc. FPI
$12.28 $-0.22 -1.76% $591.55M Real Estate 25 $0.29 32.94 0.36 3.07% 3.04% 31.63% 1.20 10.49 1.80% 3.61%
CubeSmart CUBE
$47.51 $-0.46 -0.96% $10.74B Real Estate 3K $1.78 27.89 2.03 4.12% 3.59% 37.79% 4.02 10.54 6.49% 14.44%
Ares Dynamic Credit Allocation Fund, Inc. ARDC
$15.39 $-0.04 -0.26% $352.66M Financial Services - $2.32 6.63 0.07 9.19% 15.08% 159.50% 1.04 10.58 9.67% 15.84%
BlackRock Taxable Municipal Bond Trust BBN
$17.12 $0.03 0.18% $1.06B Financial Services - $0.64 26.28 0.90 6.54% 3.80% 40.25% 0.98 10.58 2.47% 3.65%
Pioneer Municipal High Income Advantage Fund, Inc. MAV
$8.78 $0.01 0.11% $209.97M Financial Services 0 $0.16 53.73 43.52 4.26% 1.86% 19.69% 0.94 10.58 1.42% 1.51%
John Hancock Hedged Equity & Income Fund HEQ
$11.02 $0.05 0.46% $133.40M Financial Services - $1.18 11.03 0.11 9.00% 9.07% 90.91% 0.90 10.59 8.11% 8.11%
Schrödinger, Inc. SDGR
$21.95 $-0.53 -2.36% $1.60B Healthcare 664 $-2.45 47.75 1.76 - 2.09% 22.16% 3.74 10.60 5.56% 7.99%
BlackRock MuniYield New Jersey Fund, Inc. MYJ
$13.07 $0.00 0.00% $315.31M Financial Services - $1.22 0.00 0.00 - - 98.92% 0.00 10.61 4.65% 7.55%
MFS Intermediate High Income Fund CIF
$1.78 $0.01 0.56% $32.05M Financial Services - $0.20 6.98 -0.22 9.99% 14.32% 152.71% 0.96 10.62 9.41% 13.68%
PacifiCorp PPWLO
$134.95 $0.00 0.00% $48.18B Utilities 5K $2.38 90.04 -35.79 3.43% 1.11% 11.80% 5.99 10.63 2.27% 6.62%
Cohen & Steers, Inc. CNS
$100.70 $-0.70 -0.70% $5.09B Financial Services 354 $2.68 39.29 4.04 2.25% 2.55% 27.19% 10.82 10.63 18.59% 31.56%
Yield10 Bioscience, Inc. YTEN
$0.66 $0.14 26.97% $457.17K Basic Materials 29 $-20.14 -0.09 0.00 - - -5,518.22% 2.26 10.67 -242.54% -426.58%
S&P Global Inc. SPGI
$518.19 $-4.68 -0.90% $160.79B Financial Services 22K $11.35 52.95 -1.09 0.86% 1.89% 20.20% 3.70 10.67 4.10% 6.90%
Destra Multi-Alternative Fund DMA
$9.10 $0.01 0.11% $81.57M Financial Services - $0.76 0.00 0.00 - - 91.70% 0.00 10.71 5.73% 7.05%
Dynatrace, Inc. DT
$59.28 $-0.32 -0.55% $17.69B Technology 4K $0.54 102.59 1.03 - 0.97% 10.44% 7.81 10.73 4.90% 8.02%
Unicycive Therapeutics, Inc. UNCY
$0.71 $-0.02 -3.26% $73.91M Healthcare 9 $-0.46 -0.19 0.00 - - -2,452.71% 1.12 10.73 -174.28% -741.73%
Aclaris Therapeutics, Inc. ACRS
$3.84 $0.08 1.99% $273.94M Healthcare 72 $-0.51 -7.85 0.23 - - -136.65% 2.23 10.74 -20.29% -26.28%
Flaherty & Crumrine Dynamic Preferred and Income Fund Inc. DFP
$20.68 $0.08 0.36% $424.63M Financial Services - $3.50 5.89 0.06 6.38% 16.98% 182.58% 0.97 10.75 10.05% 17.11%
Intapp, Inc. INTA
$67.08 $1.85 2.83% $5.19B Technology 946 $-0.29 -222.86 11.24 - - -4.74% 10.70 10.81 -2.86% -5.30%
Nuveen New York AMT-Free Quality Municipal Income Fund NRK
$11.09 $-0.04 -0.36% $967.44M Financial Services - $0.84 6.12 0.36 5.89% 16.34% 176.91% 0.90 10.83 8.96% 15.10%