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)
Coya Therapeutics, Inc. COYA
$6.14 $0.05 0.82% $102.58M Healthcare 6 $-0.66 -9.28 0.63 - - -111.98% 3.10 11.40 -30.09% -31.59%
Franklin Universal Trust FT
$7.66 $-0.04 -0.52% $192.51M Financial Services - $1.35 5.73 0.03 6.55% 17.44% 199.27% 0.95 11.42 12.79% 17.40%
AllianceBernstein Global High Income Fund AWF
$10.98 $-0.02 -0.21% $946.88M Financial Services 0 $1.46 4.84 -0.10 7.33% 20.64% 235.89% 0.98 11.43 19.77% 20.91%
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%
Analog Devices, Inc. ADI
$214.82 $-3.48 -1.59% $106.61B Technology 24K $3.23 66.20 -73.26 1.27% 1.51% 17.35% 3.08 11.48 3.39% 4.63%
John Hancock Premium Dividend Fund PDT
$13.09 $-0.04 -0.30% $643.83M Financial Services - $1.04 12.50 0.00 6.99% 8.00% 91.88% 1.07 11.48 5.24% 9.13%
Victory Oilfield Tech, Inc. VYEY
$0.30 $0.00 0.00% $159.21M Energy 8 $-0.03 -38.56 6.20 - - -29.78% -4.78 11.48 -68.75% 12.65%
Capital Properties, Inc. CPTP
$10.10 $0.00 0.00% $66.66M Real Estate 2 $0.36 28.43 -2.84 2.83% 3.52% 40.41% 8.53 11.49 25.28% 30.15%
First Trust Mortgage Income Fund FMY
$12.10 $-0.01 -0.09% $50.97M Financial Services - $0.70 17.54 -0.15 7.13% 5.70% 65.86% 1.00 11.55 4.77% 5.88%
MFS High Income Municipal Trust CXE
$3.86 $0.00 0.00% $121.70M Financial Services - $0.18 20.28 0.83 4.63% 4.93% 57.01% 0.95 11.56 2.86% 4.73%
Nuveen Municipal Credit Income Fund NZF
$13.02 $-0.03 -0.23% $2.52B Financial Services - $0.53 -78.16 1.34 6.12% - -14.81% 0.94 11.57 -0.71% -1.27%
Nuveen California AMT-Free Quality Municipal Income Fund NKX
$12.85 $-0.03 -0.23% $610.82M Financial Services - $0.85 6.49 0.02 5.10% 15.41% 178.81% 0.99 11.61 9.02% 15.50%
Cardiff Lexington Corp. CDIX
$3.00 $-3.50 -53.85% $45.11M Financial Services 19 $153.30 -45.95 0.28 - - -23.64% 24.53 11.61 -8.47% -28.38%
National Health Investors, Inc. NHI
$75.97 $-0.38 -0.50% $3.45B Real Estate 19 $2.91 27.81 -5.01 4.44% 3.60% 40.04% 2.87 11.64 5.15% 10.19%
BlackRock Capital Investment Corporation BKCC
$3.68 $0.01 0.27% $267.06M Financial Services - $0.36 15.07 -1.83 5.43% 6.63% 77.20% 0.85 11.64 2.82% 5.61%
Nuveen Preferred and Income Term Fund JPI
$20.65 $0.06 0.29% $470.25M Financial Services - $2.70 7.64 -0.58 6.71% 13.09% 152.31% 1.03 11.64 8.84% 13.67%
Cabot Oil & Gas Corporation COG
$22.25 $0.00 0.00% $17.09B Energy 503 $0.00 44.23 -0.43 - 2.26% 13.67% 4.00 11.66 4.43% 9.18%
Mexico Equity & Income Fund Inc. MXE
$8.51 $0.06 0.71% $37.45M Financial Services - $-1.52 -5.77 0.12 3.45% - -202.14% 0.67 11.66 -11.54% -10.77%
Nuveen AMT-Free Quality Municipal Income Fund NEA
$11.90 $0.00 0.00% $3.56B Financial Services - $0.16 -22.41 0.31 5.93% - -52.07% 0.93 11.67 -2.48% -4.46%
Invesco Senior Income Trust VVR
$3.99 $-0.01 -0.25% $611.49M Financial Services - $0.39 12.34 0.27 11.70% 8.10% 95.34% 0.87 11.67 3.94% 7.05%
Ambarella, Inc. AMBA
$69.26 $-1.82 -2.56% $2.86B Technology 899 $-3.83 -18.68 -1.55 - - -62.38% 5.31 11.70 -23.48% -28.41%
Arcus Biosciences, Inc. RCUS
$16.44 $0.50 3.14% $1.50B Healthcare 366 $-3.19 -3.58 - - - -321.22% 1.79 11.70 -23.15% -44.80%
AvalonBay Communities, Inc. AVB
$226.76 $-1.04 -0.46% $32.25B Real Estate 3K $7.29 32.09 -6.39 2.87% 3.12% 36.50% 2.81 11.73 4.89% 8.84%
Pioneer Diversified High Income Fund, Inc. HNW
$12.49 $0.02 0.13% $104.07M Financial Services - $1.86 6.16 -0.10 9.19% 16.22% 191.20% 0.99 11.79 11.29% 16.63%
SLR Investment Corp. SLRC
$16.74 $-0.09 -0.53% $913.24M Financial Services 0 $1.77 10.87 0.18 9.15% 9.20% 108.66% 0.83 11.81 2.94% 7.57%
Digital Realty Trust, Inc. DLR
$190.50 $-0.34 -0.18% $63.19B Real Estate 3K $1.22 145.46 -8.46 2.49% 0.69% 8.04% 3.02 11.83 0.97% 2.21%
MongoDB, Inc. MDB
$324.01 $-1.14 -0.35% $23.93B Technology 5K $-3.01 -97.52 71.19 - - -12.08% 15.73 11.84 -7.02% -18.84%
MFS High Yield Municipal Trust CMU
$3.65 $-0.02 -0.54% $93.05M Financial Services - $0.18 25.61 0.64 4.42% 3.90% 46.23% 0.98 11.84 2.33% 3.86%
ESS Tech, Inc. GWH
$5.96 $-0.16 -2.70% $70.76M Industrials 160 $-6.62 -0.94 -0.00 - - -1,263.79% 1.50 11.92 -81.57% -101.96%
Bath & Body Works, Inc. LB
$73.18 $-1.66 -2.22% $1.28B Consumer Cyclical 22K $-2.68 -24.78 -0.25 - - -48.18% 13.62 11.94 -7.75% -30.25%
Eaton Vance Tax-Advantaged Global Dividend Opportunities Fund ETO
$26.38 $0.02 0.09% $432.40M Financial Services 0 $4.03 7.16 -0.28 7.39% 13.96% 167.41% 0.98 11.99 10.95% 14.84%
Western Asset High Income Fund II Inc. HIX
$4.47 $-0.03 -0.67% $402.46M Financial Services 0 $0.49 4.04 0.07 13.21% 24.77% 297.65% 0.99 12.02 16.26% 28.31%
Bio-Path Holdings, Inc. BPTH
$0.61 $-0.07 -9.84% $2.63M Healthcare 10 $-8.34 -0.22 -0.08 - - -3,836.86% -3.26 12.10 -354.57% 2,620.06%
Odyssey Marine Exploration, Inc. OMEX
$0.42 $-0.33 -43.63% $9.13M Industrials 13 $0.60 -2.58 -0.24 - - -467.75% -0.26 12.12 -13.55% 10.49%
Liberty Broadband Corporation LBRDP
$24.01 $-0.13 -0.54% $12.04B Communication Services - $5.45 15.46 -0.06 - 6.47% 78.07% 1.27 12.12 4.80% 8.42%
Liberty Broadband Corporation LBRDA
$85.40 $0.07 0.08% $12.28B Communication Services 0 $5.43 15.46 -0.06 - 6.47% 78.07% 1.27 12.12 4.80% 8.42%
Liberty Broadband Corporation LBRDK
$86.18 $0.37 0.43% $12.33B Communication Services - $5.43 15.46 -0.06 - 6.47% 78.07% 1.27 12.12 4.80% 8.42%
Liberty Broadband Corporation LBRDB
$89.00 $0.00 0.00% $10.84B Communication Services - $5.43 16.25 -0.29 - 6.15% 78.07% 1.34 12.17 4.80% 8.33%
Nuveen Preferred & Income Opportunities Fund JPC
$8.10 $-0.02 -0.25% $2.59B Financial Services - $1.17 6.77 0.07 8.47% 14.78% 179.80% 1.01 12.17 9.09% 15.02%
CKX Lands, Inc. CKX
$12.53 $0.32 2.62% $25.40M Energy 1 $0.23 53.79 -1.97 - 1.86% 22.63% 1.33 12.18 2.46% 2.51%
Natera, Inc. NTRA
$169.17 $-0.65 -0.38% $22.33B Healthcare 3K $-1.77 -56.34 -0.56 - - -21.47% 19.68 12.18 -19.26% -36.74%
Virtus Diversified Income & Convertible Fund ACV
$22.95 $0.11 0.46% $237.96M Financial Services - $1.80 8.08 0.08 9.52% 12.38% 150.94% 1.05 12.19 8.78% 13.24%
Microsoft Corporation MSFT
$431.20 $0.22 0.05% $3.21T Technology 221K $12.11 34.33 0.57 0.72% 2.91% 35.61% 10.80 12.23 17.31% 34.56%
Skinvisible, Inc. SKVI
$0.55 $0.00 0.00% $2.69M Consumer Defensive 2 $-0.25 -0.05 -0.00 - - -26,186.45% -0.04 12.28 -3,243.44% 86.43%
Qualys, Inc. QLYS
$157.61 $2.02 1.30% $5.77B Technology 2K $4.52 47.70 0.03 - 2.10% 25.77% 20.58 12.30 18.53% 48.17%
Guggenheim Strategic Opportunities Fund GOF
$15.87 $-0.05 -0.31% $2.17B Financial Services - $1.80 9.14 4.27 13.83% 10.95% 140.30% 1.32 12.31 11.52% 15.11%
Tekla Life Sciences Investors HQL
$14.31 $0.00 0.00% $391.39M Financial Services - $1.34 10.05 -0.88 13.04% 9.95% 122.69% 0.88 12.33 8.78% 9.07%
BlackRock Core Bond Trust BHK
$11.26 $0.04 0.40% $608.20M Financial Services - $0.48 15.22 0.15 7.94% 6.57% 81.11% 1.07 12.34 4.35% 6.89%
MFS Investment Grade Municipal Trust CXH
$8.24 $-0.00 -0.06% $67.60M Financial Services - $0.26 45.17 0.93 3.67% 2.21% 27.35% 0.97 12.36 1.31% 2.17%
Lineage Cell Therapeutics, Inc. LCTX
$0.53 $-0.02 -3.59% $99.54M Healthcare 57 $-0.10 -5.37 -0.19 - - -230.66% 1.67 12.39 -20.82% -29.91%