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)
Needham Small Cap Growth Fund NESIX
$20.47 $-0.17 -0.82% $158.36M - $0.00 5.88 -0.09 - 17.01% 967.88% 1.28 22.72 15.88% 23.53%
MDwerks, Inc. MDWK
$0.16 $0.00 0.00% $32.61M Financial Services 1 $-0.01 -19.33 -0.19 - - -117.57% 48.32 22.78 -39.99% -159.44%
Sow Good Inc. SOWG
$3.32 $-0.13 -3.77% $34.01M Consumer Defensive 33 $0.24 -2.00 -0.00 - - -1,142.69% 47.33 22.88 -219.48% -492.25%
Nuveen AMT-Free Municipal Value Fund NUW
$14.05 $-0.02 -0.14% $252.22M Financial Services - $0.47 29.96 0.06 3.70% 3.34% 76.90% 0.93 23.04 3.05% 3.19%
Voya Global Equity Dividend and Premium Opportunity Fund IGD
$5.60 $-0.04 -0.62% $441.27M Financial Services - $0.81 14.62 -0.18 9.03% 6.84% 157.59% 0.96 23.04 6.49% 6.57%
Western Asset Global Corporate Defined Opportunity Fund Inc. GDO
$11.78 $0.05 0.38% $176.18M Financial Services - $0.59 19.39 -0.15 11.52% 5.16% 119.09% 0.94 23.09 3.10% 4.94%
Avista Public Acquisition Corp. II AHPA
$6.12 $-0.72 -10.45% $705.17M Financial Services - $-0.24 -6.35 0.01 - - -308.78% 1.37 23.18 -19.01% -20.97%
Avista Public Acquisition Corp. II AHPAU
$6.16 $-1.50 -19.58% $808.04M Financial Services - $-0.24 -6.35 0.01 - - -308.78% 1.37 23.18 -19.01% -20.97%
Eaton Vance Enhanced Equity Income Fund EOI
$21.92 $-0.06 -0.27% $878.58M Financial Services 0 $5.90 4.71 -1.19 6.93% 21.22% 501.79% 1.15 23.48 24.27% 26.61%
Galera Therapeutics, Inc. GRTX
$0.03 $0.00 1.19% $1.85M Healthcare 30 $-0.51 -0.07 0.00 - - -33,073.86% -0.01 23.49 -177.65% 21.95%
Krystal Biotech, Inc. KRYS
$187.58 $1.60 0.86% $5.39B Healthcare 119 $1.79 108.25 -0.53 - 0.92% 21.68% 6.40 23.51 5.33% 6.34%
BridgeBio Pharma, Inc. BBIO
$26.77 $-0.33 -1.22% $5.06B Healthcare 576 $-2.42 -11.64 0.15 - - -201.53% -4.15 23.51 -66.00% 37.14%
Pioneer Municipal High Income Fund, Inc. MHI
$9.62 $0.02 0.21% $219.06M Financial Services - $-0.07 5.49 0.11 4.10% 18.22% 429.42% 0.79 23.56 14.21% 18.03%
Atreca, Inc. BCEL
$0.09 $-0.00 -1.32% $3.57M Healthcare 91 $-2.50 -0.06 0.00 - - -36,689.40% 0.33 23.63 -210.31% -199.88%
Eaton Vance Tax-Managed Global Diversified Equity Income Fund EXG
$8.52 $0.02 0.18% $2.61B Financial Services - $1.13 7.42 0.06 8.85% 13.48% 321.88% 0.93 23.88 12.49% 13.35%
Ayro, Inc. AYRO
$0.73 $0.00 0.14% $4.94M Consumer Cyclical 32 $-3.51 -0.85 0.02 - - -2,826.47% 0.24 23.97 -17.44% -26.11%
BNY Mellon Strategic Municipal Bond Fund, Inc. DSM
$6.12 $-0.04 -0.73% $302.75M Financial Services - $0.28 25.33 -0.28 3.52% 3.95% 94.90% 0.94 24.04 2.47% 3.72%
First Trust Energy Infrastructure Fund FIF
$18.10 $0.01 0.06% $283.55M Financial Services - $-1.02 26.99 0.27 3.04% 3.71% 92.95% 1.07 24.08 3.07% 3.93%
FAM Small Cap Fund Investor Class FAMFX
$29.79 $-0.11 -0.37% $408.98M - $1.31 12,099.47 0.25 - 0.00% 11.96% 4,450.65 24.29 17.52% 44.27%
iShares S&P GSCI Commodity-Indexed Trust GSG
$21.07 $-0.20 -0.94% $1.32B - $4.51 -37.85 -1.59 - - -51.35% 1.20 24.32 -3.16% -2.80%
Blue World Acquisition Corporation BWAQU
$3.50 $-4.50 -56.25% $10.63M Financial Services - $0.00 19.17 0.19 - 5.22% 124.88% 0.76 24.32 3.39% 3.33%
Blue World Acquisition Corporation BWAQW
$0.08 $0.00 10.65% $242.88K Financial Services - $0.00 19.17 0.19 - 5.22% 124.88% 0.76 24.32 3.39% 3.33%
Blue World Acquisition Corporation BWAQ
$4.24 $-4.32 -50.47% $28.44M Financial Services - $0.19 19.17 0.19 - 5.22% 124.88% 0.76 24.32 3.39% 3.33%
Blue World Acquisition Corporation BWAQR
$0.23 $0.03 14.42% $698.58K - $0.00 19.17 0.19 - 5.22% 124.88% 0.76 24.32 3.39% 3.33%
Kaya Holdings, Inc. KAYS
$0.03 $0.00 14.80% $1.45M Healthcare 4 $-0.13 -0.32 -0.03 - - -4,463.21% -0.05 24.33 -1,078.98% 18.92%
Aerpio Pharmaceuticals, Inc. ARPO
$2.20 $-0.02 -0.90% $53.67M Healthcare 12 $0.00 -2.29 0.05 - - -1,574.06% -6.41 24.34 -30.78% -1,027.32%
PolarityTE, Inc. PTE
$0.24 $-0.00 -0.82% $1.78M Healthcare 59 $-0.58 0.10 0.00 - 986.62% 23,845.21% 0.14 24.35 96.44% 105.45%
India Globalization Capital, Inc. IGC
$0.35 $-0.00 -1.63% $27.12M Industrials 52 $-0.20 -2.26 -0.34 - - -1,062.47% 3.84 24.42 -121.22% -158.95%
Intuitive Surgical, Inc. ISRG
$549.43 $7.72 1.43% $195.70B Healthcare 10K $6.23 85.97 13.11 - 1.16% 28.51% 12.38 24.54 12.64% 15.59%
Nuveen Credit Opportunities 2022 Target Term Fund JCO
$7.95 $0.01 0.13% $220.81M Financial Services - $0.00 0.00 0.00 - - 97.94% 0.00 24.55 3.84% 3.86%
OmniAb, Inc. OABI
$3.91 $-0.07 -1.76% $473.16M Healthcare 74 $-0.62 -7.48 4.34 - - -287.29% 1.59 24.81 -18.50% -20.21%
OmniAb, Inc. OABIW
$0.32 $-0.02 -5.35% $481.63M Healthcare 74 $0.00 -7.48 4.34 - - -287.29% 1.59 24.81 -18.50% -20.21%
Aditxt, Inc. ADTX
$0.35 $-0.00 -1.19% $4.92M Healthcare 58 $610.49 -0.00 -0.00 - - -18,947.07% 0.00 24.83 -134.68% -431.38%
Hilton Tactical Income Fund HCYAX
$18.35 $0.02 0.11% $123.36M - $0.00 -41.12 0.41 2.87% - -96.48% 1.10 24.87 -2.67% -2.68%
Eaton Vance Tax-Managed Diversified Equity Income Fund ETY
$15.15 $0.04 0.24% $2.38B Financial Services - $2.49 5.77 -0.05 7.37% 17.32% 431.77% 1.13 24.92 19.50% 20.91%
BlackRock Enhanced Government Fund, Inc. EGF
$9.91 $-0.08 -0.80% $37.05M Financial Services - $0.22 33.14 -0.51 4.69% 3.02% 76.21% 1.04 25.26 2.94% 3.10%
Nuveen Municipal Income Fund, Inc. NMI
$9.65 $0.02 0.21% $96.99M Financial Services - $0.45 22.34 -1.50 4.40% 4.48% 113.12% 0.98 25.27 4.27% 4.55%
Concord Acquisition Corp III CNDB
$6.58 $-3.46 -34.46% $82.69M Financial Services - $-0.09 -53.44 -0.53 - - -96.04% -2.69 25.33 -8.75% -122.58%
Gevo, Inc. GEVO
$1.48 $0.00 0.00% $354.32M Basic Materials 97 $-0.33 -4.97 5.67 - - -510.04% 0.78 25.34 -13.17% -14.95%
Axon Enterprise, Inc. AXON
$684.18 $-3.20 -0.47% $52.17B Industrials 2K $3.82 164.17 -8.76 - 0.61% 15.37% 23.32 25.41 7.45% 16.00%
Gabelli Merger Plus+ Trust PLC GMP.L
$7.50 $7.50 0.00% $77.51M - $0.00 11.23 0.12 6.93% 8.91% 150.87% 0.75 25.55 6.52% 6.54%
KULR Technology Group, Inc. KULR
$1.14 $-0.25 -17.97% $244.24M Technology 50 $-0.11 -12.47 -0.12 - - -186.55% 43.61 25.62 -146.47% -768.76%
Eaton Vance California Municipal Income Trust CEV
$10.65 $-0.03 -0.28% $74.91M Financial Services 0 $0.38 30.41 0.30 5.11% 3.29% 86.02% 0.93 25.80 2.19% 3.06%
Blackrock Resources & Commodities Strategy Trust BCX
$9.30 $-0.04 -0.38% $764.55M Financial Services - $0.47 20.94 -1.00 6.56% 4.78% 127.71% 0.91 26.07 4.29% 4.30%
Movano Inc. MOVE
$5.35 $0.40 8.08% $35.49M Healthcare 27 $-4.79 -15.79 0.34 - - -2,493.49% 25.24 26.23 -128.83% -452.96%
Werewolf Therapeutics, Inc. HOWL
$1.81 $-0.05 -2.69% $80.66M Healthcare 48 $-1.52 -1.41 -0.01 - - -1,834.55% 0.98 26.32 -44.36% -58.83%
AppLovin Corporation APP
$392.28 $18.58 4.97% $131.67B Technology 2K $3.29 98.42 3.85 - 1.02% 26.87% 120.93 26.34 21.18% 122.33%
180 Life Sciences Corp. ATNF
$2.18 $-0.05 -2.24% $4.31M Healthcare - $7.98 -0.70 -0.00 - - -1,880.26% 0.59 26.55 -29.82% -559.06%
Mechanical Technology, Incorporated MKTY
$12.66 $-0.18 -1.40% $256.31M 29 $0.20 63.73 0.02 - 1.57% 20.27% 20.96 26.70 22.50% 39.92%
Eaton Vance National Municipal Opportunities Trust EOT
$17.48 $-0.06 -0.36% $273.08M Financial Services - $2.63 8.73 0.05 4.46% 11.45% 306.15% 0.94 26.73 9.38% 11.25%