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Criteria:
1.Exchange: NYSE, NASDAQ
2.RPS Is Greater Than -1
3.RPS Is Less Than 0
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   Symbol   Name  EPS  P / E  ROE  ROIC  ROA  Interest cover  PEG Ratio  Last  Avg Vol  Volume
 AFB 
AllianceBernstein National Municipal Income Fund Inc
 -0.05    -0.37    -0.21      11.07  77,106  65,687
 APLT 
Applied Therapeutics Inc
 -1.91    -3,153  -176  -298      4.55  838,737  2,218,773
 ARR 
Armour Residential REIT Inc
 -0.67    -1.76    -0.17    -0.45  19.65  864,342  1,285,954
 AVK 
Advent Convertible & Income Fund
 -0.19    -1.71    -0.91      11.72  80,043  86,307
 AWIN 
AERWINS Technologies Inc
 252  0.01    -38.91  -200      1.74  551,036  1,033,094
 AWP 
abrdn Global Premier Properties Fund
 -0.18    -4.49    -3.68      3.76  259,493  242,818
 BCX 
BlackRock Resources & Commodities Strategy Trust
 -0.04    -0.93    -0.91      8.92  177,521  206,859
 CATX 
Perspective Therapeutics Inc
 -1.70    -46.33  -56.72  -39.77      10.09  6,202,156  1,280,966
 CCD 
Calamos Dynamic Convertible & Income Fund
 -0.62    -3.42    -2.10      22.21  51,597  28,108
 CCIF 
Carlyle Credit Income Fund
 -1.12    -12.79    -10.68      8.39  73,132  25,408
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