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Neutral

All stocks rated Neutral by Alpha Radar technical analysis

500 stocks match this screen
Market:
Avg Opinion
+0.72
Avg Technical
59.0
Avg Power
56.8
Avg RSI
55.0
Total Stocks
500
Symbol Price Avg Vol Opinion Label Technical Power MA Osc Trend Vol RSI Sector Mkt Cap
PHDG
Invesco S&P 500 Downside Hedged ETF
$37.95 5K +0.98 Neutral 62.2 58.4 50 44 83 75 52 Financial Services $64M
RDW
Redwire Corporation
$9.63 23.9M +0.98 Neutral 62.2 60.5 50 69 50 100 52 Industrials $1.5B
ASRV
AmeriServ Financial, Inc.
$3.81 17K +0.98 Neutral 62.2 51.2 100 44 58 25 52 Financial Services $62M
IEYAX
Macquarie Climate Solutions Fund
$12.07 0 +0.98 Neutral 62.2 60.6 100 44 58 25 58 Financial Services $110M
RILYN
B. Riley Financial, Inc. - 6.50
$23.67 32K +0.98 Neutral 62.2 60.3 75 44 58 75 66 Financial Services $733M
SPOT
Spotify Technology S.A.
$482.52 2.9M +0.98 Neutral 62.2 59.8 25 69 75 100 54 Communication Servic $97.7B
AA
Alcoa Corporation
$58.66 7.5M +0.98 Neutral 62.2 61.1 50 44 83 75 60 Basic Materials $14.9B
NLY-PF
Annaly Capital Management, Inc.
$25.42 38K +0.98 Neutral 62.2 57.3 88 44 33 100 54 Real Estate $13.2B
TWAV
TaoWeave, Inc.
$1.33 382K +0.98 Neutral 62.2 55.4 50 44 83 75 61 Financial Services $4M
BCE
BCE Inc.
$25.73 3.4M +0.98 Neutral 62.2 55.1 75 44 58 75 54 Communication Servic $24.0B
ESQ
Esquire Financial Holdings, Inc.
$106.15 81K +0.98 Neutral 62.2 60.1 62 44 58 100 59 Financial Services $911M
PROV
Provident Financial Holdings, Inc.
$16.10 7K +0.98 Neutral 62.2 56.0 88 44 33 100 52 Financial Services $102M
PAHC
Phibro Animal Health Corporation
$52.38 257K +0.98 Neutral 62.2 60.4 100 44 33 75 56 Healthcare $2.1B
TFINP
Triumph Financial, Inc.
$22.25 2K +0.98 Neutral 62.2 56.7 88 44 58 50 55 Financial Services $528M
GMHS
Gamehaus Holdings Inc.
$1.07 29K +0.98 Neutral 62.2 59.1 75 69 50 50 50 Technology $58M
ATGE
Adtalem Global Education Inc.
$106.64 509K +0.98 Neutral 62.2 70.0 62 44 58 100 55 Consumer Defensive $3.9B
ARMK
Aramark
$39.16 2.9M +0.98 Neutral 62.2 61.5 38 44 83 100 53 Industrials $10.2B
LBRX
LB Pharmaceuticals Inc Common Stock
$23.99 234K +0.98 Neutral 62.2 53.7 38 44 83 100 67 Healthcare $595M
BUCK
Simplify Treasury Option Income ETF
$23.64 215K +0.98 Neutral 62.2 60.6 88 69 50 25 51 Financial Services $402M
AACI
Armada Acquisition Corp. II
$10.30 275K +0.98 Neutral 62.2 55.2 62 44 58 100 60 Financial Services $407M
EVMT
Invesco Electric Vehicle Metals Com
$17.41 15K +0.98 Neutral 62.2 60.6 50 44 83 75 54 Financial Services $8M
SPHR
Sphere Entertainment Co.
$112.88 771K +0.98 Neutral 62.2 53.7 88 44 58 50 52 Communication Servic $3.9B
YIBO
Planet Image International Limited
$1.00 579K +0.95 Neutral 61.9 66.8 25 62 92 75 51 Technology $54M
HFFG
HF Foods Group Inc.
$1.85 177K +0.95 Neutral 61.9 62.5 12 62 92 100 56 Consumer Defensive $100M
XILSX
Pioneer ILS Interval Fund
$10.06 0 +0.95 Neutral 61.9 60.5 100 12 83 25 95 Financial Services $735M
TVAI
Thayer Ventures Acquisition Corpora
$10.20 15K +0.95 Neutral 61.9 60.5 75 38 50 100 60 Financial Services $277M
INNV
InnovAge Holding Corp.
$8.36 271K +0.95 Neutral 61.9 52.8 62 38 75 75 54 Healthcare $1.1B
KTN
Credit-Enhanced Corts Trust Aon
$25.88 4K +0.95 Neutral 61.9 50.5 62 38 75 75 56 Financial Services
FCRIX
Fs Credit Income Fund
$11.93 0 +0.95 Neutral 61.9 60.5 88 38 75 25 59 Financial Services $329M
KMKNX
Kinetics Market Opportunities Fund
$95.50 0 +0.95 Neutral 61.9 65.0 88 38 75 25 64 Financial Services $279M
KMKYX
Kinetics Market Opportunities Fund
$97.17 0 +0.95 Neutral 61.9 65.0 88 38 75 25 64 Financial Services $279M
MS-PI
Morgan Stanley
$25.26 48K +0.95 Neutral 61.9 52.5 62 38 75 75 49 Financial Services $67.3B
BAYA
Bayview Acquisition Corp Class A Or
$11.95 8K +0.95 Neutral 61.9 52.5 100 38 50 50 56 Financial Services $65M
ORIQU
Origin Investment Corp I Units
$10.28 171 +0.95 Neutral 61.9 60.5 50 62 67 75 58 Financial Services $65M
OLOX
Olenox Industries Inc.
$1.20 1.7M +0.95 Neutral 61.9 62.2 38 38 100 75 49 Industrials $7M
LAND
Gladstone Land Corporation
$10.99 727K +0.95 Neutral 61.9 56.3 62 38 75 75 54 Real Estate $436M
XXI
Twenty One Capital Inc
$7.07 1.2M +0.95 Neutral 61.9 52.3 50 38 75 100 56 Financial Services $74M
ZTAX
X-Square Municipal Income ETF
$26.52 1K +0.95 Neutral 61.9 60.5 100 62 42 25 46 Financial Services $5M
CART
Instacart (Maplebear Inc.)
$36.49 5.1M +0.95 Neutral 61.9 58.8 12 62 92 100 56 Consumer Cyclical $9.7B
BTBD
BT Brands, Inc.
$1.39 87K +0.95 Neutral 61.9 51.1 25 62 92 75 59 Consumer Cyclical $8M
AACBU
Artius II Acquisition Inc. Units
$10.70 120 +0.95 Neutral 61.9 60.5 75 38 50 100 62 Financial Services $269M
GGR
Gogoro Inc.
$3.38 18K +0.93 Neutral 61.6 57.2 38 56 83 75 53 Consumer Cyclical $49M
MSTX
Daily Target 2X Long MSTR ETF
$24.36 72.8M +0.93 Neutral 61.6 53.5 62 56 58 75 52 Financial Services $737M
DBMF
iMGP DBi Managed Futures Strategy E
$30.24 1.4M +0.93 Neutral 61.6 48.1 62 31 67 100 54 Financial Services $1.6B
UYSCU
UY Scuti Acquisition Corp. Units
$10.40 181 +0.93 Neutral 61.6 54.3 88 56 58 25 62 Financial Services $69M
FDTX
FIDELITY DISRUPTIVE TECHNOLOGY ETF
$38.85 17K +0.93 Neutral 61.6 60.4 50 56 58 100 49 Financial Services $175M
XWIN
XMax Inc.
$6.65 759K +0.93 Neutral 61.6 52.4 75 31 67 75 54 Consumer Cyclical $302M
JEDI
Drone and Modern Warfare ETF
$27.08 112K +0.93 Neutral 61.6 60.4 50 56 58 100 50 Financial Services $1M
LEGT
Legato Merger Corp. III
$10.98 45K +0.93 Neutral 61.6 56.1 88 31 42 100 52 Financial Services $283M
BLIN
Bridgeline Digital, Inc.
$0.87 68K +0.93 Neutral 61.6 59.4 38 56 83 75 55 Technology $11M
ZONE
CleanCore Solutions, Inc.
$0.36 2.3M +0.93 Neutral 61.6 58.9 62 56 58 75 56 Industrials $80M
KTB
Kontoor Brands, Inc.
$69.00 815K +0.93 Neutral 61.6 57.2 62 56 58 75 48 Consumer Cyclical $3.7B
STHH
STMicroelectronics NV ADRhedged
$63.80 527 +0.93 Neutral 61.6 58.1 62 31 67 100 58 Technology $624,675
ACIC
American Coastal Insurance Corporat
$11.06 240K +0.93 Neutral 61.6 55.0 25 56 83 100 51 Financial Services $539M
CAMT
Camtek Ltd.
$172.25 514K +0.93 Neutral 61.6 59.0 88 31 67 50 48 Technology $7.6B
NPT
Texxon Holding Limited Ordinary sha
$6.32 1.0M +0.93 Neutral 61.6 64.9 25 56 83 100 71 Consumer Cyclical $163M
HAIAU
Healthcare AI Acquisition Corp.
$11.50 244 +0.93 Neutral 61.6 58.7 62 31 67 100 75 Financial Services $64M
LZMH
LZ Technology Holdings Limited Clas
$1.26 160K +0.93 Neutral 61.6 52.6 38 56 83 75 51 Technology $193M
FORM
FormFactor, Inc.
$95.10 1.3M +0.93 Neutral 61.6 58.4 100 31 42 75 51 Technology $7.2B
CHMI
Cherry Hill Mortgage Investment Cor
$2.70 182K +0.93 Neutral 61.6 59.0 88 56 33 75 54 Real Estate $100M
INAC
Indigo Acquisition Corp.
$10.14 15K +0.93 Neutral 61.6 46.3 62 31 67 100 52 Financial Services $149M
PGC
Peapack-Gladstone Financial Corpora
$33.76 129K +0.93 Neutral 61.6 57.7 75 31 67 75 55 Financial Services $583M
GIWWU
GigCapital8 Corp. Units
$10.35 6K +0.93 Neutral 61.6 52.9 62 31 67 100 86 Financial Services $231M
GANX
Gain Therapeutics, Inc.
$1.90 1.1M +0.93 Neutral 61.6 52.8 38 56 83 75 52 Healthcare $75M
PAVM
PAVmed Inc.
$9.69 1.1M +0.93 Neutral 61.6 47.8 62 31 67 100 56 Healthcare $5M
NEUP
Neuphoria Therapeutics Inc.
$4.40 48K +0.93 Neutral 61.6 52.7 38 56 83 75 57 Healthcare $9M
EFSCP
Enterprise Financial Services Corp
$20.12 2K +0.93 Neutral 61.6 53.7 50 31 92 75 53 Financial Services $712M
PTF
Invesco Dorsey Wright Technology Mo
$92.93 34K +0.93 Neutral 61.6 60.4 88 31 42 100 52 Financial Services $422M
AMRN
Amarin Corporation plc
$15.00 91K +0.93 Neutral 61.6 54.5 25 56 83 100 53 Healthcare $300M
DCO
Ducommun Incorporated
$125.01 156K +0.93 Neutral 61.6 56.4 62 31 67 100 53 Industrials $1.8B
CATX
Perspective Therapeutics, Inc.
$4.60 3.4M +0.93 Neutral 61.6 51.8 62 31 67 100 56 Healthcare $328M
SEIX
Virtus Seix Senior Loan ETF
$23.14 107K +0.93 Neutral 61.6 60.4 75 31 67 75 55 Financial Services $238M
ACEI
Innovator Equity Autocallable Incom
$23.93 24K +0.93 Neutral 61.6 58.1 62 56 58 75 52 Financial Services $2M
AFMD
Affimed N.V.
$0.18 15.7M +0.93 Neutral 61.6 63.5 62 31 67 100 65 Healthcare $3M
PACHU
Pioneer Acquisition I Corp Units
$10.30 363 +0.93 Neutral 61.6 60.4 62 44 75 62 72 Financial Services $322M
JOE
The St. Joe Company
$68.80 194K +0.93 Neutral 61.6 59.5 62 31 67 100 56 Real Estate $3.7B
AVR
Anteris Technologies Global Corp.
$5.89 1.1M +0.93 Neutral 61.6 53.2 62 31 92 50 53 Healthcare $206M
RAMP
LiveRamp Holdings, Inc.
$27.32 766K +0.93 Neutral 61.6 61.0 38 56 83 75 54 Technology $1.7B
AMTD
AMTD IDEA Group
$1.03 42K +0.90 Neutral 61.3 58.8 62 50 50 100 61 Financial Services $7M
CNO-PA
CNO Financial Group, Inc. 5.125
$18.72 3K +0.90 Neutral 61.3 48.8 62 50 50 100 66 Financial Services $3.4B
TXBC
21Shares FTSE Crypto 10 ex-BTC Inde
$15.90 1K +0.90 Neutral 61.3 62.5 38 50 75 100 55 Financial Services $624,600
PACH
Pioneer Acquisition I Corp.
$10.16 14K +0.90 Neutral 61.2 60.2 62 25 83 75 78 Financial Services $321M
AMR
Alpha Metallurgical Resources, Inc.
$198.92 272K +0.90 Neutral 61.3 58.0 62 50 50 100 52 Energy $2.5B
HACK
Amplify Cybersecurity ETF
$78.39 117K +0.90 Neutral 61.3 52.8 62 50 75 50 51 Financial Services $1.8B
DFFGX
DFA Short-Term Government Portfolio
$10.01 0 +0.90 Neutral 61.2 60.2 88 25 83 25 94 $1.8B
NTST
NETSTREIT Corp.
$19.71 1.5M +0.90 Neutral 61.3 61.1 62 50 50 100 52 Real Estate $1.6B
CRE
Cre8 Enterprise Limited Class A Ord
$2.87 480K +0.90 Neutral 61.3 57.3 12 50 100 100 48 Industrials $6M
DLNG
Dynagas LNG Partners LP
$4.29 102K +0.90 Neutral 61.3 64.7 100 50 50 25 41 Energy $156M
RDWR
Radware Ltd.
$25.49 276K +0.90 Neutral 61.3 53.4 75 50 50 75 54 Technology $1.1B
BUBSX
Baird Ultra Short Bond Fund Investo
$10.16 0 +0.90 Neutral 61.2 60.2 88 62 58 12 57 Financial Services $9.5B
VS
Versus Systems Inc.
$1.09 20K +0.90 Neutral 61.3 54.4 50 50 75 75 65 Technology $5M
CRAC
Crown Reserve Acquisition Corp. I
$10.01 49K +0.88 Neutral 61.0 60.2 75 44 67 50 58 Financial Services $173M
SON
Sonoco Products Company
$51.81 974K +0.88 Neutral 61.0 54.0 62 44 67 75 54 Consumer Cyclical $5.0B
ARCFX
Water Island Credit Opportunities F
$9.87 0 +0.88 Neutral 61.0 58.5 88 44 67 25 69 Financial Services $153M
CCNEP
CNB Financial Corporation
$25.25 1K +0.88 Neutral 61.0 56.8 100 44 67 0 47 Financial Services $740M
ATLO
Ames National Corporation
$27.01 34K +0.88 Neutral 61.0 56.9 88 44 42 75 55 Financial Services $237M
JAJWX
John Hancock Freedom 529 Plan - Sta
$11.55 0 +0.88 Neutral 61.0 60.2 100 19 75 25 100 Financial Services
ARX
Accelerant Holdings
$12.18 1.1M +0.88 Neutral 60.9 64.0 38 69 58 100 47 Financial Services $2.9B
TBN
Tamboran Resources Corp
$31.73 57K +0.88 Neutral 61.0 58.9 88 44 67 25 48 Energy $723M
NOC
Northrop Grumman Corporation
$714.15 931K +0.88 Neutral 61.0 59.8 62 44 67 75 56 Industrials $100.3B
SOYB
Teucrium Soybean Fund
$24.22 80K +0.88 Neutral 61.0 49.9 88 44 67 25 51 Financial Services $41M
ZTO
ZTO Express (Cayman) Inc.
$25.27 2.1M +0.88 Neutral 61.0 53.2 88 44 42 75 52 Industrials $19.5B
UE
Urban Edge Properties
$20.77 955K +0.88 Neutral 61.0 57.6 100 44 42 50 57 Real Estate $2.6B
SGC
Superior Group of Companies, Inc.
$10.23 44K +0.88 Neutral 61.0 56.7 75 44 42 100 53 Consumer Cyclical $157M
PXJ
Invesco Oil & Gas Services ETF
$40.47 52K +0.88 Neutral 61.0 60.2 88 44 42 75 49 Financial Services $30M
IMAX
IMAX Corporation
$36.62 1.1M +0.88 Neutral 61.0 55.9 50 44 67 100 53 Communication Servic $2.0B
COST
Costco Wholesale Corporation
$974.78 2.3M +0.88 Neutral 61.0 60.3 62 44 67 75 54 Consumer Defensive $431.4B
WM
Waste Management, Inc.
$233.83 2.5M +0.88 Neutral 61.0 65.5 62 44 67 75 53 Industrials $93.3B
FTS
Fortis Inc.
$56.19 921K +0.88 Neutral 61.0 56.0 62 19 75 100 70 Utilities $27.9B
BATRK
Atlanta Braves Holdings, Inc.
$42.46 349K +0.88 Neutral 61.0 56.2 50 44 67 100 59 Communication Servic $2.6B
KMDA
Kamada Ltd.
$8.62 74K +0.88 Neutral 61.0 51.1 62 44 67 75 54 Healthcare $490M
PTIX
Protagenic Therapeutics, Inc.
$0.73 61K +0.88 Neutral 60.9 63.3 50 69 58 75 50 Healthcare $1M
FLEX
Flex Ltd.
$65.79 3.5M +0.88 Neutral 61.0 57.5 75 44 42 100 53 Technology $22.8B
FDCPX
Fidelity Select Computer Pt
$162.63 0 +0.85 Neutral 60.6 60.0 100 38 58 25 52 Financial Services $1.6B
CEPO
Cantor Equity Partners I, Inc. Clas
$10.48 38K +0.85 Neutral 60.6 54.4 62 38 58 100 64 Financial Services $215M
FNVTU
Finnovate Acquisition Corp.
$11.71 24 +0.85 Neutral 60.6 53.9 62 38 58 100 71 Financial Services $26M
INSW
International Seaways, Inc.
$71.54 592K +0.85 Neutral 60.6 58.9 100 38 58 25 52 Energy $3.3B
CTRN
Citi Trends, Inc.
$47.86 100K +0.85 Neutral 60.6 57.9 88 38 58 50 43 Consumer Cyclical $366M
JMMF
JPMorgan 100% U.S. Treasury Securit
$100.14 3K +0.85 Neutral 60.6 60.0 75 38 83 25 66 Financial Services $53M
LLYVA
Liberty Live Group
$90.35 199K +0.85 Neutral 60.6 50.8 62 38 83 50 53 Communication Servic $8.1B
CODA
Coda Octopus Group, Inc.
$12.68 265K +0.85 Neutral 60.6 50.6 62 38 83 50 50 Industrials $134M
XPEG
Leverage Shares 2x Long XPEV Daily
$12.09 11K +0.85 Neutral 60.6 64.5 50 12 92 100 61 Financial Services $587,231
DHT
DHT Holdings, Inc.
$17.86 4.1M +0.85 Neutral 60.6 60.7 88 38 58 50 53 Energy $2.8B
ETCO
Grayscale Ethereum Covered Call ETF
$12.22 15K +0.85 Neutral 60.6 64.5 38 38 83 100 54 Financial Services $2M
DFII
FT Vest Bitcoin Strategy & Target I
$13.58 11K +0.85 Neutral 60.6 60.0 12 62 100 75 55 Financial Services $9M
ANVS
Annovis Bio, Inc.
$2.67 427K +0.85 Neutral 60.6 52.9 50 62 50 100 57 Healthcare $51M
LANDO
Gladstone Land Corporation
$20.27 18K +0.85 Neutral 60.6 50.5 100 38 58 25 59 Real Estate $727M
BOAT
SonicShares Global Shipping ETF
$41.01 45K +0.85 Neutral 60.6 60.0 100 38 58 25 51 Financial Services $46M
GLNK
Grayscale Chainlink Trust Link
$8.04 236K +0.83 Neutral 60.3 62.1 12 56 92 100 55 Financial Services $8M
BURL
Burlington Stores, Inc.
$311.99 826K +0.83 Neutral 60.3 60.8 88 31 50 75 49 Consumer Cyclical $19.5B
GBTC
Grayscale Bitcoin Trust ETF
$54.71 4.9M +0.83 Neutral 60.3 60.5 12 56 92 100 54 Financial Services $37.8B
FTIF
First Trust Bloomberg Inflation Sen
$26.57 3K +0.83 Neutral 60.3 59.9 100 31 50 50 54 Financial Services $1M
RIVN
Rivian Automotive, Inc.
$16.12 30.0M +0.83 Neutral 60.3 55.3 62 56 67 50 48 Consumer Cyclical $18.4B
ETSY
Etsy, Inc.
$54.76 3.6M +0.83 Neutral 60.3 61.5 38 56 67 100 48 Consumer Cyclical $5.2B
CGUI
Capital Group Ultra Short Income ET
$25.32 130K +0.83 Neutral 60.3 59.9 75 31 50 100 57 Financial Services $106M
BRRR
CoinShares Bitcoin ETF
$19.83 469K +0.83 Neutral 60.3 62.1 12 56 92 100 54 Financial Services $520M
CABA
Cabaletta Bio, Inc.
$3.04 3.0M +0.83 Neutral 60.3 48.7 62 31 75 75 54 Healthcare $283M
HR
Healthcare Realty Trust Incorporate
$17.95 3.5M +0.83 Neutral 60.3 56.7 62 31 75 75 54 Real Estate $6.0B
BRLS
Borealis Foods Inc.
$1.60 1.6M +0.83 Neutral 60.3 62.1 50 56 67 75 51 Consumer Defensive $34M
RAAX
VanEck Real Assets ETF
$40.08 251K +0.83 Neutral 60.3 59.9 62 31 75 75 55 Financial Services $193M
FLY
Firefly Aerospace Inc.
$22.96 3.5M +0.83 Neutral 60.3 56.6 50 56 67 75 56 Industrials $3.7B
FEPI
REX FANG & Innovation Equity Premiu
$41.99 184K +0.83 Neutral 60.3 59.9 38 56 67 100 52 Financial Services $585M
TEXX
Listed Funds Trust - Horizon Kineti
$28.12 4K +0.83 Neutral 60.3 59.9 50 56 92 25 56 Financial Services $1M
NNN
NNN REIT, Inc.
$44.23 1.5M +0.83 Neutral 60.3 58.4 62 31 75 75 62 Real Estate $8.1B
BTC
Grayscale Bitcoin Mini Trust ETF
$31.08 4.7M +0.83 Neutral 60.3 62.1 12 56 92 100 54 Financial Services $4.1B
CRDF
Cardiff Oncology, Inc.
$1.82 1.2M +0.83 Neutral 60.3 55.5 12 56 92 100 49 Healthcare $123M
PLPC
Preformed Line Products Company
$262.68 121K +0.83 Neutral 60.3 52.4 88 31 50 75 47 Industrials $1.3B
FJET
Starfighters Space Inc
$7.50 9.4M +0.83 Neutral 60.3 53.9 25 56 92 75 49 Industrials $77M
AQST
Aquestive Therapeutics, Inc.
$4.06 4.9M +0.83 Neutral 60.3 55.7 25 56 92 75 52 Healthcare $395M
MSSAR
Metal Sky Star Acquisition Corporat
$0.09 20K +0.83 Neutral 60.3 62.7 75 31 50 100 55 Financial Services $43M
CASY
Casey's General Stores, Inc.
$665.16 388K +0.83 Neutral 60.3 61.8 62 31 75 75 54 Consumer Cyclical $24.5B
MLPR
ETRACS Quarterly Pay 1.5X Leveraged
$70.09 932 +0.83 Neutral 60.3 59.9 88 31 75 25 61 Financial Services $15M
BRR
ProCap Financial, Inc.
$2.79 705K +0.83 Neutral 60.3 56.9 50 56 67 75 52 Financial Services $224M
SEAL-PA
Seapeak LLC
$25.84 4K +0.83 Neutral 60.3 45.5 100 31 50 50 52 Energy $2.6B
PAIAX
PIMCO Short Asset Investment Fund C
$10.00 0 +0.83 Neutral 60.3 59.9 88 31 75 25 89 Financial Services $2.2B
IBIT
iShares Bitcoin Trust ETF
$39.82 67.0M +0.83 Neutral 60.3 54.6 12 56 92 100 54 Financial Services $66.5B
LRE
Lead Real Estate Co., Ltd American
$1.40 53K +0.83 Neutral 60.3 55.4 50 56 67 75 59 Real Estate $18M
WTM
White Mountains Insurance Group, Lt
$2181.16 18K +0.83 Neutral 60.3 56.2 62 31 75 75 54 Financial Services $5.3B
PL
Planet Labs PBC
$26.96 11.5M +0.83 Neutral 60.3 64.3 100 31 50 50 50 Industrials $10.7B
GLU-PB
The Gabelli Global Utility & Income
$50.13 1K +0.83 Neutral 60.3 57.1 50 31 75 100 78 Financial Services $97M
STM
STMicroelectronics N.V.
$32.42 7.7M +0.83 Neutral 60.3 54.3 62 31 75 75 54 Technology $27.4B
PSFE
Paysafe Limited
$6.93 485K +0.83 Neutral 60.3 55.5 25 56 92 75 50 Technology $397M
IFBD
Infobird Co., Ltd
$0.96 62K +0.83 Neutral 60.3 54.8 38 56 67 100 50 Technology $8M
BITO
ProShares - Bitcoin ETF
$9.67 78.0M +0.83 Neutral 60.3 62.1 12 56 92 100 54 Financial Services $1.8B
TRVI
Trevi Therapeutics, Inc.
$10.70 1.3M +0.83 Neutral 60.3 54.8 50 56 67 75 46 Healthcare $1.4B
SAM
The Boston Beer Company, Inc.
$231.79 168K +0.83 Neutral 60.3 53.6 100 31 50 50 47 Consumer Defensive $2.4B
JSOAX
JP Morgan Strategic Income Opportun
$11.39 0 +0.83 Neutral 60.3 59.3 88 31 75 25 70 Financial Services $9.6B
BITB
Bitwise Bitcoin ETF Trust
$38.16 3.8M +0.83 Neutral 60.3 54.6 12 56 92 100 54 Financial Services $3.2B
GGLS
Direxion Daily GOOGL Bear 1X ETF
$6.91 12.3M +0.83 Neutral 60.3 57.6 50 56 67 75 54 Financial Services $16M
PZZA
Papa John's International, Inc.
$33.70 1.3M +0.80 Neutral 60.0 54.8 25 50 83 100 55 Consumer Cyclical $1.1B
OBIL
US Treasury 12 Month Bill ETF
$50.12 46K +0.80 Neutral 60.0 59.8 62 25 67 100 62 Financial Services $304M
WETO
Webus International Limited Ordinar
$0.69 35K +0.80 Neutral 60.0 64.3 62 50 58 75 62 Technology $17M
GIGGU
GigCapital7 Corp.
$11.27 130 +0.80 Neutral 60.0 55.8 88 50 58 25 58 Financial Services $336M
OBMCX
Oberweis Micro Cap Portfolio
$59.19 0 +0.80 Neutral 60.0 59.8 100 50 58 0 49 Financial Services $1.0B
FTW
Presidio Production Company
$11.05 64K +0.80 Neutral 60.0 58.6 62 50 83 25 46 Energy $493M
KMDNX
The Kinetics Multi-Disciplinary Inc
$10.05 0 +0.80 Neutral 60.0 59.8 88 38 75 12 60 Financial Services $18M
ANY
Sphere 3D Corp.
$1.55 600K +0.80 Neutral 60.0 60.5 50 50 58 100 52 Technology $4M
PHIO
Phio Pharmaceuticals Corp.
$1.18 4.0M +0.80 Neutral 60.0 50.3 62 50 58 75 56 Healthcare $14M
OMCIX
Oberweis Micro Cap Institutional
$60.81 0 +0.80 Neutral 60.0 59.8 100 50 58 0 49 Financial Services $1.0B
OPHC
OptimumBank Holdings, Inc.
$5.26 31K +0.80 Neutral 60.0 56.5 75 25 67 75 60 Financial Services $62M
RCI
Rogers Communications Inc.
$38.65 1.0M +0.80 Neutral 60.0 51.1 62 50 58 75 50 Communication Servic $20.6B
KRRO
Korro Bio, Inc.
$11.06 241K +0.80 Neutral 60.0 47.4 38 50 83 75 58 Healthcare $107M
GLSI
Greenwich LifeSciences, Inc.
$25.88 509K +0.80 Neutral 60.0 55.6 38 50 83 75 56 Healthcare $334M
OXLCZ
Oxford Lane Capital Corp. 5.00% Not
$24.62 7K +0.80 Neutral 60.0 65.6 75 62 42 62 19 Financial Services $11.8B
NVFY
Nova LifeStyle, Inc.
$6.18 1.4M +0.78 Neutral 59.7 56.0 75 44 50 75 54 Consumer Cyclical $85M
MAMA
Mama's Creations, Inc.
$14.98 432K +0.78 Neutral 59.7 58.9 50 44 75 75 59 Consumer Defensive $578M
CODX
Co-Diagnostics, Inc.
$2.65 145K +0.78 Neutral 59.7 51.6 62 69 67 25 48 Healthcare $3M
CRWL
GraniteShares 2x Long CRWD Daily ET
$23.18 260K +0.78 Neutral 59.7 59.6 38 44 75 100 49 Financial Services $27M
GECCH
Great Elm Capital Corp. - 8.125
$24.90 2K +0.78 Neutral 59.7 62.5 75 44 75 25 57 Financial Services $290M
AWR
American States Water Company
$72.83 247K +0.78 Neutral 59.7 57.7 25 69 67 100 55 Utilities $2.8B
GJO
Strats Trust Wal Mart Stores Inc. S
$24.80 959 +0.78 Neutral 59.7 59.6 75 44 50 75 50 Financial Services
ZIP
ZipRecruiter, Inc.
$2.33 1.7M +0.78 Neutral 59.7 57.4 12 44 100 100 59 Industrials $193M
UTG
Reaves Utility Income Fund
$40.18 281K +0.78 Neutral 59.7 54.1 62 44 50 100 58 Financial Services $3.4B
PN
Skycorp Solar Group Limited
$0.72 766K +0.78 Neutral 59.7 66.6 50 69 67 50 52 Energy $19M
IDA
IDACORP, Inc.
$139.71 446K +0.78 Neutral 59.7 54.3 62 44 50 100 58 Utilities $7.4B
SUIG
SUI Group Holdings Limited
$1.40 738K +0.78 Neutral 59.7 55.9 38 44 75 100 55 Financial Services $102M
EPRT
Essential Properties Realty Trust,
$32.57 1.9M +0.78 Neutral 59.7 59.5 62 44 75 50 51 Real Estate $6.7B
DIOD
Diodes Incorporated
$67.11 391K +0.78 Neutral 59.7 55.2 88 44 25 100 53 Technology $3.0B
FBYD
Falcon's Beyond Global, Inc. Class
$6.12 123K +0.78 Neutral 59.7 60.3 25 69 67 100 57 Industrials $270M
LILAK
Liberty Latin America Ltd.
$8.08 903K +0.78 Neutral 59.7 59.1 88 44 50 50 52 Communication Servic $1.6B

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