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)
Copart, Inc. CPRT
$62.25 $-0.72 -1.14% $59.98B Consumer Cyclical 10K $1.43 43.84 6.33 - 2.28% 31.92% 7.73 14.00 15.70% 18.96%
Axsome Therapeutics, Inc. AXSM
$97.13 $-2.41 -2.43% $4.71B Healthcare 352 $-6.52 -15.21 -1.03 - - -91.87% 50.90 14.06 -55.38% -234.35%
Wells Fargo Advantage Funds - Allspring Income Opportunities Fund EAD
$7.03 $0.01 0.14% $415.42M Financial Services - $0.64 4.02 0.00 8.89% 24.85% 349.81% 0.98 14.08 16.46% 24.93%
BlackRock California Municipal Income Trust BFZ
$11.66 $-0.02 -0.16% $350.54M Financial Services - $0.41 29.21 2.04 5.67% 3.42% 48.21% 0.91 14.08 2.01% 3.08%
Blueprint Medicines Corporation BPMC
$94.18 $-2.34 -2.42% $5.98B Healthcare 602 $-2.09 -47.70 -0.48 - - -29.48% 19.51 14.09 -10.67% -47.66%
BlackRock MuniHoldings Quality Fund II, Inc. MUE
$10.80 $0.01 0.09% $236.72M Financial Services - $0.68 16.39 0.88 5.04% 6.10% 86.13% 0.91 14.11 3.82% 5.53%
C3.ai, Inc. AI
$38.07 $0.48 1.28% $4.70B Technology 704 $-2.28 -16.70 1.03 - - -85.48% 5.31 14.11 -26.30% -31.28%
SoundHound AI, Inc. SOUN
$8.88 $-0.07 -0.78% $3.28B Technology 392 $-0.35 -4.34 - - - -298.53% 12.07 14.12 -68.48% 5,119.35%
SoundHound AI, Inc. SOUNW
$3.80 $0.20 5.56% $3.31B Technology 392 $-6.57 -4.34 - - - -298.53% 12.07 14.12 -68.48% 5,119.35%
Lucid Diagnostics Inc. LUCD
$0.92 $-0.04 -4.50% $54.48M Healthcare - $-1.12 -1.12 0.03 - - -1,069.90% 7.94 14.16 -198.33% -561.98%
CME Group Inc. CME
$244.29 $1.29 0.53% $88.03B Financial Services 3K $9.60 24.92 0.20 4.12% 4.01% 56.79% 3.03 14.19 2.49% 12.51%
Mesabi Trust MSB
$27.16 $-0.80 -2.86% $356.34M Basic Materials 0 $1.34 19.06 -1.75 6.78% 5.25% 74.72% 15.22 14.25 67.27% 83.21%
Syros Pharmaceuticals, Inc. SYRS
$0.25 $-0.00 -2.84% $6.70M Healthcare 124 $-3.07 -1.81 -0.18 - - -1,060.53% 1.11 14.26 -24.68% -40.89%
Eaton Vance New York Municipal Bond Fund ENX
$9.92 $-0.06 -0.55% $178.18M Financial Services - $1.64 -65.85 -1.76 4.80% - -21.66% 0.91 14.26 -0.95% -1.43%
Nuveen Missouri Quality Municipal Income Fund NOM
$10.82 $0.06 0.57% $25.43M Financial Services - $0.36 29.45 -0.43 5.45% 3.40% 48.45% 0.93 14.27 1.86% 3.15%
ACMAT Corporation ACMTA
$29.05 $0.00 0.00% $43.72M Financial Services - $0.44 17.35 -1.56 - 5.76% 42.29% 0.78 14.32 2.47% 4.59%
ACMAT Corporation ACMT
$49.00 $0.00 0.00% $43.72M Financial Services - $0.49 17.35 -1.56 - 5.76% 42.29% 0.78 14.32 2.47% 4.59%
PIMCO Corporate & Income Opportunity Fund PTY
$14.79 $0.02 0.14% $2.41B Financial Services - $1.37 10.72 -0.06 11.60% 9.33% 99.62% 0.95 14.34 6.36% 8.70%
Western Asset Managed Municipals Fund Inc. MMU
$10.64 $-0.03 -0.28% $581.14M Financial Services 0 $0.38 7.78 0.12 5.70% 12.86% 184.90% 0.92 14.37 7.91% 11.77%
Legg Mason BW Global Income Opportunities Fund Inc. BWG
$8.48 $0.00 0.02% $142.42M Financial Services - $0.79 10.62 0.03 11.37% 9.41% 135.26% 0.94 14.37 5.01% 9.13%
The Herzfeld Caribbean Basin Fund Inc. CUBA
$2.45 $0.01 0.41% $38.52M Financial Services - $0.19 23.43 0.23 16.71% 4.27% 61.96% 0.78 14.43 3.20% 3.12%
DWS Municipal Income Trust KTF
$10.03 $-0.05 -0.50% $392.88M Financial Services - $0.35 27.91 -5.58 6.02% 3.58% 51.74% 1.00 14.44 2.36% 3.59%
Aspen Technology, Inc. AZPN
$250.94 $0.12 0.05% $15.87B Technology 4K $-0.58 -442.76 -12.10 0.21% - -3.26% 1.24 14.45 -0.26% -0.28%
WhiteHorse Finance, Inc. WHF
$10.43 $-0.08 -0.76% $242.43M Financial Services - $0.45 20.42 - 12.35% 4.90% 70.87% 0.88 14.47 1.81% 4.21%
NVE Corporation NVEC
$78.42 $-0.93 -1.17% $379.08M Technology 47 $3.33 24.59 -5.94 6.10% 4.07% 58.88% 6.11 14.48 24.47% 24.62%
Healthcare Trust of America, Inc. HTA
$29.19 $-0.02 -0.07% $11.11B Real Estate 357 $0.42 926.21 6.43 - 0.11% 0.92% 2.00 14.49 0.10% 0.22%
Neuberger Berman New York Municipal Fund, Inc. NBO
$8.48 $0.01 0.12% $43.06M Financial Services - $-0.32 21.66 0.22 - 4.62% 67.26% 0.76 14.57 2.09% 3.58%
Precigen, Inc. PGEN
$0.86 $-0.05 -4.96% $252.98M Healthcare 456 $-0.54 -8.95 -0.09 - - -142.95% 5.85 14.58 -38.56% -27.77%
PROCEPT BioRobotics Corporation PRCT
$96.48 $0.37 0.38% $5.25B Healthcare 234 $-1.95 -14.96 - - - -93.58% 5.44 14.63 -25.86% -52.78%
Energous Corporation WATT
$0.47 $-0.01 -2.08% $4.13M Technology 48 $-3.06 -7.88 0.00 - - -3,683.86% 9.99 14.64 -96.42% -97.43%
VeriSign, Inc. VRSN
$187.99 $-4.50 -2.34% $18.07B Technology 902 $8.59 29.87 0.17 - 3.35% 49.42% -13.39 14.65 43.19% -45.72%
TransMedics Group, Inc. TMDX
$71.44 $-13.70 -16.09% $2.40B Healthcare 148 $0.93 -124.25 -9.38 - - -11.77% 15.22 14.66 -2.58% -9.98%
FRP Holdings, Inc. FRPH
$31.84 $0.04 0.13% $605.97M Real Estate 14 $0.40 79.37 -2.31 - 1.26% 18.35% 1.43 14.67 1.04% 1.82%
Eaton Vance Municipal Bond Fund EIM
$10.79 $-0.03 -0.28% $767.74M Financial Services - $1.48 -74.87 -0.75 5.30% - -19.60% 0.94 14.67 -0.88% -1.32%
MFS Municipal Income Trust MFM
$5.66 $-0.02 -0.35% $233.12M Financial Services - $0.17 -44.23 0.49 5.87% - -33.28% 0.94 14.72 -1.43% -2.26%
Pathfinder Acquisition Corporation PFDR
$8.58 $-1.42 -14.20% $436.53M Financial Services - $0.00 197.76 1.98 - 0.51% 7.45% 6.12 14.73 1.57% 1.11%
RxSight, Inc. RXST
$43.56 $-2.28 -4.97% $1.76B Healthcare 221 $-0.81 -15.43 0.18 - - -92.42% 6.08 14.74 -31.71% -50.75%
Aligos Therapeutics, Inc. ALGS
$27.60 $1.82 7.06% $95.61M Healthcare 89 $-7.25 -2.08 -0.03 - - -1,283.19% 3.19 14.74 -87.03% -114.34%
Agilysys, Inc. AGYS
$130.50 $-3.14 -2.35% $3.65B Technology 1K $3.52 38.69 -1.12 - 2.58% 37.54% 14.21 14.74 21.62% 38.96%
Veroni Brands Corp. VONI
$1.75 $0.00 0.00% $47.40M Consumer Defensive 6 $-0.02 -66.14 - - - -22.38% -53.87 14.79 -355.58% 109.98%
BlackRock MuniYield New York Quality Fund, Inc. MYN
$10.69 $0.04 0.38% $409.57M Financial Services 0 $0.51 22.37 0.10 5.06% 4.47% 66.18% 0.89 14.81 2.48% 3.94%
Intra-Cellular Therapies, Inc. ITCI
$85.75 $0.44 0.52% $9.09B Healthcare 512 $-0.87 -104.89 -38.15 - - -14.09% 7.91 14.81 -6.52% -9.93%
Rivernorth Managed Duration Municipal Income Fund Inc. RMM
$15.87 $0.05 0.32% $313.27M Financial Services - $1.28 0.00 0.00 6.99% - 99.60% 0.00 14.82 3.49% 5.90%
Legend Biotech Corporation LEGN
$43.90 $0.22 0.52% $8.05B Healthcare 1K $-1.92 -22.01 0.24 - - -66.92% 6.87 14.84 -20.06% -29.69%
HubSpot, Inc. HUBS
$756.52 $37.08 5.15% $39.05B Technology 7K $-0.50 -2,652.68 -347.50 - - -0.56% 21.14 14.85 -0.39% -0.91%
Eaton Vance Tax-Advantaged Dividend Income Fund EVT
$25.43 $0.06 0.24% $1.90B Financial Services - $3.63 8.41 -0.04 7.45% 11.89% 176.63% 1.01 14.86 9.61% 12.98%
Associated Capital Group, Inc. AC
$35.91 $0.79 2.27% $762.56M Financial Services 25 $2.63 13.69 0.00 5.79% 7.30% 108.76% 0.86 14.86 5.77% 6.21%
Synopsys, Inc. SNPS
$570.19 $4.26 0.75% $87.59B Technology 19K $9.69 79.43 2.66 - 1.26% 18.71% 13.79 14.87 10.42% 18.03%
Virtus Stone Harbor Emerging Markets Income Fund EDF
$5.07 $-0.01 -0.20% $146.87M Financial Services - $1.43 4.18 0.00 14.34% 23.92% 320.39% 0.96 14.93 17.51% 29.73%
Pure Cycle Corporation PCYO
$13.99 $-0.64 -4.37% $336.78M Utilities 35 $0.48 48.18 -6.50 - 2.08% 31.00% 2.37 14.93 4.32% 5.03%