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USA Stock Screener - Compare & Analyze Key Metrics


Discover and filter top-performing stocks in the USA market. Analyze key metrics like market cap, P/E ratio, revenue growth, and more for smarter investment decisions. Expand Your Investing Strategy Using Our Global Screener.

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Code arrow Company Name Stock Price Sector Market Cap P/E Ratio Forward P/E Volume Return on Equity Revenue
star NYSE:MBI MBIA Inc $5.57 Financial Services $311.28 Million 0 86.96 222.71K 0 $-13.00 Million
star NYSE:FLYX flyExclusive, Inc. $3.20 Industrials $309.25 Million 0 0 12.47K -34.46 $296.98 Million
star NYSE:MIN MFS Intermediate Income Trust $2.69 Financial Services $308.97 Million 135.50 0 116.01K 0.01 $12.20 Million
star NYSE:RMM RiverNorth Managed Duration Municipal Income Fund Inc $14.31 Financial Services $303.99 Million 12.03 0 46.61K -16.66 $0.00
star NYSE:OIA Invesco Municipal Income Opportunities Closed Fund Class Common $5.93 Financial Services $301.22 Million 9.16 0 162.51K 0.11 $21.65 Million
star NYSE:PKE Park Electrochemical Corporation $13.94 Industrials $297.83 Million 43.88 0 29.59K 0.06 $58.65 Million
star NYSE:BYM BlackRock Municipal Income Quality Closed Fund $10.76 Financial Services $295.82 Million 21.55 0 210.24K 0.04 $22.64 Million
star NYSE:ONTF ON24 Inc $5.50 Technology $287.81 Million 0 68.97 94.68K -0.24 $150.74 Million
star NYSE:PMM Putnam Managed Municipal Income Closed Fund $6.17 Financial Services $287.24 Million 10.83 0 231.86K 0.05 $19.29 Million
star NYSE:EIC Eagle Point Income Company Inc $14.65 Financial Services $287.14 Million 3.67 0 226.11K 0.26 $35.54 Million
star NYSE:DBI Designer Brands Inc $3.80 Consumer Cyclical $286.13 Million 149.25 9.18 2.47 Million -0.01 $3.06 Billion
star NYSE:FVR FrontView REIT, Inc. $14.52 Real Estate $281.03 Million 0 0 338.35K 0.00 $58.66 Million
star NYSE:NRGV Energy Vault Holdings Inc $1 Utilities $279.90 Million 0 0 5.41 Million -0.46 $130.96 Million
star NYSE:MG Mistras Group Inc $10.07 Industrials $279.40 Million 25.74 10.86 284.97K 0.06 $738.98 Million
star NYSE:GHG GreenTree Hospitality Group Ltd $2.67 Consumer Cyclical $274.39 Million 7.95 0 7.08K 0.16 $1.51 Billion
star NYSE:EOT Eaton Vance National Municipal Opportunities Closed Fund $16.58 Financial Services $270.78 Million 18.63 0 46.53K -4.49 $0.00
star NYSE:MCR MFS Charter Income Trust $6.25 Financial Services $266.79 Million 11.76 0 22.45K 0.08 $22.40 Million
star NYSE:HBB Hamilton Beach Brands Holding Co Class A $20.31 Consumer Cyclical $265.74 Million 10.31 0 32.46K 0.19 $647.83 Million
star NYSE:PINE Alpine Income Property Trust Inc $16.44 Real Estate $265.00 Million 74.35 65.36 50.29K 0.01 $50.02 Million
star NYSE:CPS Cooper Stnd $14.66 Consumer Cyclical $263.36 Million 0 62.89 612.49K -35.49 $2.74 Billion

6241 - 6260 of 19617 stocks in USA

Data Sources

Market data for USA stocks is sourced from multiple exchanges including BATS, NASDAQ, NMFQS, NYSE, NYSE ARCA, NYSE MKT, OTC, OTCBB, OTCGREY, OTCMKTS, OTCQB, OTCQX, PINK . Our financial data is compiled from official company filings, including quarterly (10-Q) and annual (10-K) reports submitted to regulatory authorities, along with earnings releases and direct disclosures from company investor relations departments. Market prices are updated continually during trading hours, while fundamental data is refreshed daily after market close to reflect the latest financial statements and corporate actions. News and corporate events are monitored and updated in real-time to provide comprehensive coverage of market-moving developments. All financial metrics, ratios, and analysis are calculated using standardized methodologies to ensure consistency across different companies and markets.