— Know what they know.
Not Investment Advice
← Alpha Radar Dashboard

Strong Sell

All stocks rated Strong Sell by Alpha Radar technical analysis

500 stocks match this screen
Market:
Avg Opinion
-2.55
Avg Technical
18.2
Avg Power
35.4
Avg RSI
36.3
Total Stocks
500
Symbol Price Avg Vol Opinion Label Technical Power MA Osc Trend Vol RSI Sector Mkt Cap
TOL
Toll Brothers, Inc.
$126.97 1.1M -2.50 Strong Sell 18.7 34.8 12 50 8 0 33 Consumer Cyclical $11.8B
CVNY
YieldMax CVNA Option Income Strateg
$23.33 35K -2.50 Strong Sell 18.7 37.2 12 50 8 0 32 Financial Services $45M
BSJX
Invesco BulletShares 2033 High Yiel
$24.90 3K -2.50 Strong Sell 18.7 41.0 12 50 8 0 38 Financial Services $5M
STXT
Strive Total Return Bond ETF
$19.77 15K -2.50 Strong Sell 18.7 41.0 12 50 8 0 37 Financial Services $123M
GRAG
Leverage Shares 2x Long GRAB Daily
$6.28 14K -2.50 Strong Sell 18.7 37.2 0 50 8 25 35 Financial Services $132.9B
MVPA
Miller Value Partners Appreciation
$32.29 2K -2.50 Strong Sell 18.7 38.7 12 50 8 0 39 Financial Services $67M
KWM
K Wave Media Ltd.
$0.25 631K -2.50 Strong Sell 18.7 37.2 0 50 8 25 32 Communication Servic $16M
SSNC
SS&C Technologies Holdings, Inc.
$67.22 2.6M -2.50 Strong Sell 18.7 39.2 12 50 8 0 45 Technology $16.0B
HOV
Hovnanian Enterprises, Inc.
$96.66 109K -2.50 Strong Sell 18.7 32.4 12 50 8 0 35 Consumer Cyclical $485M
BOOT
Boot Barn Holdings, Inc.
$141.09 691K -2.50 Strong Sell 18.7 41.0 12 50 8 0 32 Consumer Cyclical $4.3B
IMRX
Immuneering Corporation
$4.87 871K -2.50 Strong Sell 18.7 28.9 12 50 8 0 37 Healthcare $178M
FUTU
Futu Holdings Limited
$131.70 1.6M -2.50 Strong Sell 18.7 33.9 12 50 8 0 35 Financial Services $17.3B
RIVN
Rivian Automotive, Inc.
$13.35 27.3M -2.50 Strong Sell 18.7 33.1 12 50 8 0 33 Consumer Cyclical $16.2B
AZO
AutoZone, Inc.
$3365.74 186K -2.50 Strong Sell 18.7 39.2 12 50 8 0 41 Consumer Cyclical $55.2B
ASR
Grupo Aeroportuario del Sureste, S.
$297.12 75K -2.50 Strong Sell 18.7 31.7 12 50 8 0 36 Industrials $9.0B
PEP
PepsiCo, Inc.
$149.06 6.2M -2.50 Strong Sell 18.7 38.3 12 50 8 0 39 Consumer Defensive $205.5B
EBIZ
Global X - E-commerce ETF
$27.22 5K -2.50 Strong Sell 18.7 38.7 12 50 8 0 40 Financial Services $47M
FLUT
Flutter Entertainment plc
$97.29 3.7M -2.50 Strong Sell 18.7 33.2 12 50 8 0 41 Consumer Cyclical $17.0B
GHG
GreenTree Hospitality Group Ltd.
$1.18 23K -2.50 Strong Sell 18.7 44.0 0 50 8 25 42 Consumer Cyclical $118M
FHCCX
Fidelity Advisor Health Care Fund C
$34.25 0 -2.50 Strong Sell 18.7 38.7 12 50 8 0 42 Financial Services $2.9B
APOG
Apogee Enterprises, Inc.
$34.41 244K -2.50 Strong Sell 18.7 37.4 12 50 8 0 44 Industrials $707M
SLDP
Solid Power, Inc.
$2.72 6.0M -2.50 Strong Sell 18.7 29.3 12 50 8 0 35 Industrials $486M
MORT
VanEck Mortgage REIT Income ETF
$10.02 1.4M -2.50 Strong Sell 18.7 38.7 12 50 8 0 36 Financial Services $403M
MPL
Daily Target 2X Long MP ETF
$17.95 50K -2.50 Strong Sell 18.7 29.7 12 50 8 0 40 Financial Services $4M
PAGS
PagSeguro Digital Ltd.
$9.18 4.3M -2.50 Strong Sell 18.7 35.3 12 50 8 0 40 Technology $2.6B
WFC-PL
Wells Fargo & Company
$1176.55 8K -2.50 Strong Sell 18.7 35.1 12 50 8 0 40 Financial Services $239.5B
SHY
iShares 1-3 Year Treasury Bond ETF
$82.10 4.9M -2.50 Strong Sell 18.7 31.8 12 50 8 0 42 Financial Services $24.9B
TWG
Top Wealth Group Holding Limited Or
$2.86 69K -2.50 Strong Sell 18.7 29.0 0 50 8 25 19 Consumer Defensive $2M
CXT
Crane NXT, Co.
$38.34 752K -2.50 Strong Sell 18.7 35.9 12 50 8 0 31 Industrials $2.2B
VMC
Vulcan Materials Company
$266.33 1.2M -2.50 Strong Sell 18.7 42.7 12 50 8 0 32 Basic Materials $33.7B
CVRX
CVRx, Inc.
$5.94 347K -2.50 Strong Sell 18.7 33.9 0 50 8 25 39 Healthcare $159M
BRLT
Brilliant Earth Group, Inc.
$1.14 59K -2.50 Strong Sell 18.7 27.1 12 50 8 0 31 Consumer Cyclical $78M
UAE
iShares MSCI UAE ETF
$18.60 829K -2.50 Strong Sell 18.7 31.2 12 50 8 0 41 Financial Services $208M
ETHT
ProShares - Ultra Ether ETF
$14.64 2.1M -2.50 Strong Sell 18.7 28.1 12 50 8 0 37 Financial Services $106M
UA
Under Armour, Inc.
$4.93 2.7M -2.50 Strong Sell 18.7 30.6 12 50 8 0 31 Consumer Cyclical $2.1B
BBIO
BridgeBio Pharma, Inc.
$65.32 2.5M -2.50 Strong Sell 18.7 33.8 12 50 8 0 39 Healthcare $12.9B
VGI
Virtus Global Multi-Sector Income F
$7.32 43K -2.50 Strong Sell 18.7 35.1 12 50 8 0 35 Financial Services $82M
KD
Kyndryl Holdings, Inc.
$11.71 4.1M -2.50 Strong Sell 18.7 34.0 12 50 8 0 39 Technology $2.7B
ZG
Zillow Group, Inc. Class A
$37.61 1.1M -2.50 Strong Sell 18.7 37.7 12 50 8 0 31 Communication Servic $8.8B
BNTX
BioNTech SE
$88.85 1.2M -2.50 Strong Sell 18.7 34.2 12 50 8 0 34 Healthcare $22.2B
BZAI
Blaize Holdings, Inc.
$1.27 9.6M -2.50 Strong Sell 18.7 34.7 12 50 8 0 36 Technology $145M
COTY
Coty Inc.
$2.01 9.4M -2.50 Strong Sell 18.7 33.8 12 50 8 0 32 Consumer Defensive $1.7B
QTWO
Q2 Holdings, Inc.
$46.88 976K -2.50 Strong Sell 18.7 37.1 12 50 8 0 45 Technology $3.0B
PNBK
Patriot National Bancorp, Inc.
$1.12 352K -2.50 Strong Sell 18.7 27.0 12 50 8 0 43 Financial Services $132M
ARCT
Arcturus Therapeutics Holdings Inc.
$7.03 478K -2.50 Strong Sell 18.7 25.9 12 50 8 0 34 Healthcare $190M
PSA-PS
Public Storage
$15.83 21K -2.50 Strong Sell 18.7 35.1 12 50 8 0 33 Real Estate $2.8B
AMRZ
Amrize Ltd
$49.64 2.9M -2.50 Strong Sell 18.7 35.2 12 50 8 0 36 Basic Materials $26.7B
GCOR
Goldman Sachs Access U.S. Aggregate
$40.76 67K -2.50 Strong Sell 18.7 41.0 0 50 8 25 35 Financial Services $788M
DNUT
Krispy Kreme, Inc.
$3.16 2.8M -2.50 Strong Sell 18.7 35.2 12 50 8 0 35 Consumer Defensive $553M
AWF
AllianceBernstein Global High Incom
$10.03 427K -2.50 Strong Sell 18.7 31.8 12 50 8 0 38 Financial Services $864M
RCAT
Red Cat Holdings, Inc.
$8.93 15.4M -2.50 Strong Sell 18.7 31.7 12 50 8 0 34 Technology $922M
SPGI
S&P Global Inc.
$417.41 2.1M -2.50 Strong Sell 18.7 44.4 12 50 8 0 45 Financial Services $121.5B
GNTA
Genenta Science S.p.A.
$0.63 75K -2.50 Strong Sell 18.7 29.5 12 50 8 0 39 Healthcare $12M
BZUN
Baozun Inc.
$2.50 360K -2.50 Strong Sell 18.7 35.3 12 50 8 0 40 Consumer Cyclical $149M
EAD
Wells Fargo Advantage Funds - Allsp
$6.45 173K -2.50 Strong Sell 18.7 37.6 12 50 8 0 37 Financial Services $378M
HYTR
Counterpoint High Yield Trend ETF
$21.23 69K -2.50 Strong Sell 18.7 41.0 12 50 8 0 37 Financial Services $184M
INGN
Inogen, Inc.
$6.30 331K -2.50 Strong Sell 18.7 33.8 12 50 8 0 38 Healthcare $175M
SCOR
comScore, Inc.
$6.20 17K -2.50 Strong Sell 18.7 31.2 12 50 8 0 35 Communication Servic $34M
CARU
MAX Auto Industry 3X Leveraged ETN
$20.71 952 -2.50 Strong Sell 18.7 37.2 12 50 8 0 39 Financial Services $3M
EVMN
Evommune, Inc.
$21.89 338K -2.50 Strong Sell 18.7 31.2 0 50 8 25 39 Healthcare $299M
CRCT
Cricut, Inc.
$3.92 585K -2.50 Strong Sell 18.7 34.4 12 50 8 0 37 Technology $842M
FPH
Five Point Holdings, LLC
$4.79 192K -2.50 Strong Sell 18.7 29.1 0 50 8 25 44 Real Estate $333M
KRRO
Korro Bio, Inc.
$9.97 177K -2.50 Strong Sell 18.7 27.2 12 50 8 0 31 Healthcare $91M
SHPH
Shuttle Pharmaceuticals Holdings, I
$0.62 904K -2.50 Strong Sell 18.7 26.5 0 50 8 25 38 Healthcare $652,101
UPW
ProShares - Ultra Utilities
$22.36 26K -2.50 Strong Sell 18.7 37.2 12 50 8 0 34 Financial Services $14M
IBG
Innovation Beverage Group Limited
$0.82 696K -2.50 Strong Sell 18.7 35.6 0 50 8 25 32 Consumer Defensive $283,095
KITT
Nauticus Robotics, Inc.
$1.66 516K -2.50 Strong Sell 18.7 24.8 12 50 8 0 36 Industrials $1M
FTRB
Federated Hermes Total Return Bond
$24.91 128K -2.50 Strong Sell 18.7 41.0 0 50 8 25 33 Financial Services $348M
WFG
West Fraser Timber Co. Ltd.
$59.15 191K -2.50 Strong Sell 18.7 31.3 0 50 8 25 36 Basic Materials $4.5B
EMR
Emerson Electric Co.
$132.22 3.3M -2.50 Strong Sell 18.7 40.7 12 50 8 0 40 Industrials $73.2B
PCIG
Polen Capital International Growth
$8.12 6K -2.50 Strong Sell 18.7 38.7 12 50 8 0 39 Financial Services $27M
GYRE
Gyre Therapeutics, Inc.
$6.44 100K -2.50 Strong Sell 18.7 34.6 12 50 8 0 36 Healthcare $607M
PFE
Pfizer Inc.
$25.33 37.9M -2.50 Strong Sell 18.7 39.9 12 50 8 0 35 Healthcare $146.4B
TRU
TransUnion
$68.60 2.4M -2.50 Strong Sell 18.7 34.6 12 50 8 0 45 Industrials $12.7B
EVLV
Evolv Technologies Holdings, Inc.
$5.62 3.3M -2.50 Strong Sell 18.7 37.7 12 50 8 0 30 Industrials $1.0B
WMS
Advanced Drainage Systems, Inc.
$135.28 874K -2.50 Strong Sell 18.7 32.3 12 50 8 0 38 Industrials $10.3B
EUSB
iShares ESG Advanced Universal USD
$43.04 70K -2.50 Strong Sell 18.7 41.0 0 50 8 25 35 Financial Services $689M
UTZ
Utz Brands, Inc.
$7.34 1.9M -2.50 Strong Sell 18.7 36.1 12 50 8 0 46 Consumer Defensive $660M
PEG
Public Service Enterprise Group Inc
$76.84 2.8M -2.50 Strong Sell 18.7 42.0 0 50 8 25 39 Utilities $38.5B
UTSL
Direxion Daily Utilities Bull 3X ET
$41.83 105K -2.50 Strong Sell 18.7 37.2 12 50 8 0 34 Financial Services $28M
TTEC
TTEC Holdings, Inc.
$2.36 669K -2.50 Strong Sell 18.7 27.5 12 50 8 0 38 Technology $119M
IRTC
iRhythm Technologies, Inc.
$110.94 585K -2.50 Strong Sell 18.7 35.1 12 50 8 0 38 Healthcare $3.7B
PPG
PPG Industries, Inc.
$103.66 2.1M -2.50 Strong Sell 18.7 45.8 12 50 8 0 43 Basic Materials $22.7B
HRTX
Heron Therapeutics, Inc.
$0.86 2.3M -2.50 Strong Sell 18.7 32.9 12 50 8 0 36 Healthcare $134M
BOXL
Boxlight Corporation
$0.79 989K -2.50 Strong Sell 18.7 37.3 0 50 8 25 34 Technology $719,711
BIRK
Birkenstock Holding plc
$32.12 2.4M -2.50 Strong Sell 18.7 35.0 12 50 8 0 35 Consumer Cyclical $6.0B
ZSTK
ZeroStack Corp.
$4.05 20K -2.50 Strong Sell 18.7 35.0 0 50 8 25 36 Financial Services $4M
BAB
Invesco Taxable Municipal Bond ETF
$26.45 154K -2.50 Strong Sell 18.7 36.0 0 50 8 25 34 Financial Services $1.0B
INQQ
The India Internet ETF
$12.00 28K -2.50 Strong Sell 18.7 38.7 12 50 8 0 35 Financial Services $46M
WEC
WEC Energy Group, Inc.
$109.55 1.9M -2.50 Strong Sell 18.7 36.3 12 50 8 0 36 Utilities $36.3B
HTZWW
Hertz Global Holdings, Inc.
$2.50 107K -2.50 Strong Sell 18.7 29.2 12 50 8 0 41 Industrials $742M
KOSS
Koss Corporation
$3.96 24K -2.50 Strong Sell 18.7 28.9 12 50 8 0 46 Technology $37M
UBND
VictoryShares Core Plus Bond ETF
$21.48 219K -2.50 Strong Sell 18.7 41.0 0 50 8 25 31 Financial Services $1.8B
NWTG
Newton Golf Company
$0.97 40K -2.50 Strong Sell 18.7 35.0 0 50 8 25 35 Consumer Cyclical $5M
AQWA
Global X - Clean Water ETF
$18.50 35K -2.50 Strong Sell 18.7 38.7 0 50 8 25 33 Financial Services $13M
SYM
Symbotic Inc.
$47.05 1.5M -2.50 Strong Sell 18.7 36.0 12 50 8 0 32 Industrials $29.9B
JHI
John Hancock Investors Trust
$13.03 24K -2.50 Strong Sell 18.7 34.0 12 50 8 0 33 Financial Services $114M
ORIO
Orion Digital Corp.
$0.96 52K -2.50 Strong Sell 18.7 29.6 12 50 8 0 37 Technology $23M
RSPU
Invesco S&P 500 Equal Weight Utilit
$77.72 56K -2.50 Strong Sell 18.7 41.0 12 50 8 0 37 Financial Services $542M
AOMR
Angel Oak Mortgage, Inc.
$8.28 90K -2.50 Strong Sell 18.7 35.4 12 50 8 0 36 Real Estate $206M
BTCT
BTC Digital Ltd.
$1.11 91K -2.50 Strong Sell 18.7 32.3 0 50 8 25 39 Consumer Defensive $10M
CTA-PA
EIDP, Inc.
$53.97 682 -2.50 Strong Sell 18.7 39.8 12 50 8 0 47 Basic Materials $36.1B
BSJW
Invesco BulletShares 2032 High Yiel
$25.10 7K -2.50 Strong Sell 18.7 41.0 12 50 8 0 38 Financial Services $28M
BSMZ
Invesco BulletShares 2035 Municipal
$25.13 11K -2.50 Strong Sell 18.7 41.0 12 50 8 0 31 Financial Services $5M
FUTY
Fidelity MSCI Utilities Index ETF
$56.81 365K -2.50 Strong Sell 18.7 41.0 12 50 8 0 35 Financial Services $2.5B
FLCB
Franklin U.S. Core Bond ETF
$21.18 465K -2.50 Strong Sell 18.7 41.0 0 50 8 25 34 Financial Services $2.9B
EPRT
Essential Properties Realty Trust,
$30.91 2.1M -2.50 Strong Sell 18.7 39.8 12 50 8 0 44 Real Estate $6.7B
DYNB
Hartford Dynamic Bond ETF
$39.12 5K -2.50 Strong Sell 18.7 41.0 12 50 8 0 36 Financial Services $53M
SPTS
State Street SPDR Portfolio Short T
$29.00 1.7M -2.50 Strong Sell 18.7 33.5 12 50 8 0 40 Financial Services $5.9B
CCFE
Concourse Capital Focused Equity ET
$26.17 2K -2.50 Strong Sell 18.7 38.7 12 50 8 0 39 Financial Services $39M
KMID
Virtus KAR Mid-Cap ETF
$24.32 13K -2.50 Strong Sell 18.7 41.0 12 50 8 0 41 Financial Services $44M
STKH
Steakholder Foods Ltd.
$1.47 11K -2.50 Strong Sell 18.7 33.9 12 50 8 0 38 Consumer Defensive $122,423
RETL
Direxion Daily Retail Bull 3X ETF
$6.95 675K -2.50 Strong Sell 18.7 37.2 12 50 8 0 36 Financial Services $26M
FUTG
Leverage Shares 2x Long FUTU Daily
$8.04 89K -2.50 Strong Sell 18.7 37.2 12 50 8 0 34 Financial Services $1M
BIT
BlackRock Multi-Sector Income Trust
$12.29 272K -2.50 Strong Sell 18.7 35.4 12 50 8 0 30 Financial Services $524M
DYFI
IDX Dynamic Fixed Income ETF
$22.69 7K -2.50 Strong Sell 18.7 41.0 12 50 8 0 37 Financial Services $36M
PDT
John Hancock Premium Dividend Fund
$12.71 114K -2.50 Strong Sell 18.7 39.0 12 50 8 0 32 Financial Services $627M
FTCB
First Trust Core Investment Grade E
$20.70 762K -2.50 Strong Sell 18.7 36.0 0 50 8 25 32 Financial Services $2.4B
IBTJ
iShares iBonds Dec 2029 Term Treasu
$21.61 235K -2.50 Strong Sell 18.7 41.0 0 50 8 25 37 Financial Services $1.2B
USFD
US Foods Holding Corp.
$82.05 2.4M -2.50 Strong Sell 18.7 36.6 12 50 8 0 31 Consumer Defensive $17.9B
DNNG
Leverage Shares 2x Long DNN Daily E
$8.55 2K -2.50 Strong Sell 18.7 37.2 0 50 8 25 35 Financial Services $249,522
XTIA
XTI Aerospace, Inc.
$1.64 2.1M -2.50 Strong Sell 18.7 26.2 12 50 8 0 35 Industrials $27M
NCZ-PA
Virtus Convertible & Income Fund II
$20.02 8K -2.50 Strong Sell 18.7 42.6 12 50 8 0 40 Financial Services $379M
MHO
M/I Homes, Inc.
$123.89 238K -2.50 Strong Sell 18.7 34.6 12 50 8 0 43 Consumer Cyclical $3.2B
BWG
Legg Mason BW Global Income Opportu
$7.87 91K -2.50 Strong Sell 18.7 42.6 12 50 8 0 39 Financial Services $131M
TCRX
TScan Therapeutics, Inc.
$1.00 868K -2.50 Strong Sell 18.7 27.4 12 50 8 0 38 Healthcare $59M
MBB
iShares MBS ETF
$93.49 2.4M -2.50 Strong Sell 18.7 36.0 12 50 8 0 35 Financial Services $38.1B
UAA
Under Armour, Inc.
$5.02 9.0M -2.50 Strong Sell 18.7 32.7 12 50 8 0 30 Consumer Cyclical $2.2B
BAC-PM
Bank of America Corporation
$21.72 53K -2.50 Strong Sell 18.7 35.1 12 50 8 0 35 Financial Services $152.6B
PCRX
Pacira BioSciences, Inc.
$22.44 719K -2.50 Strong Sell 18.7 39.2 12 50 8 0 39 Healthcare $878M
RWX
State Street SPDR Dow Jones Interna
$27.29 31K -2.50 Strong Sell 18.7 31.2 12 50 8 0 40 Financial Services $274M
NIVF
NewGenIvf Group Limited
$0.90 568K -2.50 Strong Sell 18.7 37.4 12 50 8 0 22 Healthcare $489,490
PLAY
Dave & Buster's Entertainment, Inc.
$10.40 1.7M -2.50 Strong Sell 18.7 31.5 12 50 8 0 41 Communication Servic $372M
CNR
Core Natural Resources, Inc.
$83.87 981K -2.50 Strong Sell 18.7 34.0 12 50 8 0 41 Energy $4.2B
ONLN
ProShares - Online Retail ETF
$56.20 9K -2.50 Strong Sell 18.7 38.7 12 50 8 0 41 Financial Services $68M
LVWR
LiveWire Group, Inc.
$1.29 253K -2.50 Strong Sell 18.7 29.6 12 50 8 0 33 Consumer Cyclical $272M
LFCR
Lifecore Biomedical, Inc.
$4.38 333K -2.50 Strong Sell 18.7 30.2 12 50 8 0 36 Healthcare $164M
TSLX
Sixth Street Specialty Lending, Inc
$17.80 1.1M -2.50 Strong Sell 18.7 37.2 12 50 8 0 43 Financial Services $1.7B
WIMI
WiMi Hologram Cloud Inc.
$1.49 484K -2.50 Strong Sell 18.7 31.4 0 50 8 25 36 Communication Servic $74M
HELP
Cybin Inc. Common Stock
$4.44 1.2M -2.50 Strong Sell 18.7 29.5 12 50 8 0 36 Healthcare $209M
MVST
Microvast Holdings, Inc.
$1.25 4.7M -2.50 Strong Sell 18.7 32.0 12 50 8 0 34 Industrials $400M
XRT
State Street SPDR S&P Retail ETF
$79.59 5.6M -2.50 Strong Sell 18.7 38.7 12 50 8 0 37 Financial Services $326M
FND
Floor & Decor Holdings, Inc.
$44.98 3.0M -2.50 Strong Sell 18.7 34.1 0 50 8 25 38 Consumer Cyclical $4.8B
IZEA
IZEA Worldwide, Inc.
$3.81 65K -2.50 Strong Sell 18.7 23.0 12 50 8 0 40 Communication Servic $65M
AMIX
Autonomix Medical, Inc. Common Stoc
$0.32 142K -2.50 Strong Sell 18.7 36.9 0 50 8 25 32 Healthcare $1M
OCSL
Oaktree Specialty Lending Corporati
$11.79 982K -2.50 Strong Sell 18.7 31.8 12 50 8 0 41 Financial Services $1.0B
XC
WisdomTree True Emerging Markets Fu
$31.24 22K -2.50 Strong Sell 18.7 38.7 12 50 8 0 40 Financial Services $85M
IBTP
iShares iBonds Dec 2034 Term Treasu
$25.13 47K -2.50 Strong Sell 18.7 41.0 0 50 8 25 32 Financial Services $147M
RENX
RenX Enterprises Corp.
$1.50 2.2M -2.50 Strong Sell 18.7 35.5 12 50 8 0 34 Real Estate $630,310
GNMA
iShares GNMA Bond ETF
$43.79 28K -2.50 Strong Sell 18.7 41.0 12 50 8 0 36 Financial Services $411M
VINP
Vinci Compass Investments Ltd.
$10.29 98K -2.50 Strong Sell 18.7 33.2 12 50 8 0 37 Financial Services $642M
PAC
Grupo Aeroportuario del Pacífico,
$243.41 138K -2.50 Strong Sell 18.7 39.9 12 50 8 0 46 Industrials $12.4B
OCGN
Ocugen, Inc.
$1.34 9.1M -2.50 Strong Sell 18.7 31.7 12 50 8 0 32 Healthcare $440M
ELME
Elme Communities
$2.01 1.3M -2.50 Strong Sell 18.7 23.8 12 50 8 0 34 Real Estate $178M
CPS
Cooper-Standard Holdings Inc.
$26.62 209K -2.50 Strong Sell 18.7 30.3 12 50 8 0 36 Consumer Cyclical $462M
BHVN
Biohaven Ltd.
$8.49 2.1M -2.50 Strong Sell 18.7 31.8 12 50 8 0 37 Healthcare $888M
SCVL
Shoe Carnival, Inc.
$15.35 404K -2.50 Strong Sell 18.7 30.7 12 50 8 0 31 Consumer Cyclical $421M
INKT
MiNK Therapeutics, Inc.
$10.04 312K -2.50 Strong Sell 18.7 27.9 12 50 8 0 40 Healthcare $52M
NMRA
Neumora Therapeutics, Inc. Common S
$1.77 1.2M -2.50 Strong Sell 18.7 27.8 12 50 8 0 36 Healthcare $309M
PFSI
PennyMac Financial Services, Inc.
$86.47 629K -2.50 Strong Sell 18.7 38.3 12 50 8 0 42 Financial Services $4.4B
GXAI
Gaxos.ai Inc.
$1.12 5.2M -2.50 Strong Sell 18.7 26.1 0 50 8 25 36 Technology $8M
FLX
BingEx Limited
$2.47 190K -2.50 Strong Sell 18.7 31.4 12 50 8 0 44 Industrials $56M
VNDA
Vanda Pharmaceuticals Inc.
$6.08 2.5M -2.50 Strong Sell 18.7 28.1 12 50 8 0 35 Healthcare $360M
GDC
GD Culture Group Limited
$0.14 16.8M -2.50 Strong Sell 18.7 25.1 0 50 8 25 31 Technology $9M
HYPD
Hyperion DeFi, Inc.
$3.19 411K -2.50 Strong Sell 18.7 38.7 12 50 8 0 40 Healthcare $17M
UHAL-B
U-Haul Holding Company
$45.41 366K -2.50 Strong Sell 18.7 31.2 12 50 8 0 41 Industrials $8.8B
CCHH
CCH Holdings Ltd Ordinary Shares
$0.38 1.0M -2.50 Strong Sell 18.7 37.2 0 50 8 25 32 Consumer Defensive $8M
EMQQ
EMQQ The Emerging Markets Internet
$32.57 58K -2.50 Strong Sell 18.7 38.7 12 50 8 0 38 Financial Services $277M
BSMR
Invesco BulletShares 2027 Municipal
$23.54 51K -2.50 Strong Sell 18.7 41.0 12 50 8 0 37 Financial Services $337M
INDY
iShares India 50 ETF
$42.31 158K -2.50 Strong Sell 18.7 38.7 0 50 8 25 40 Financial Services $578M
FBRX
Forte Biosciences, Inc.
$20.97 279K -2.50 Strong Sell 18.7 25.6 12 50 8 0 33 Healthcare $279M
SMG
The Scotts Miracle-Gro Company
$57.53 969K -2.50 Strong Sell 18.7 38.0 12 50 8 0 39 Basic Materials $3.3B
VPU
Vanguard Utilities ETF
$190.32 256K -2.50 Strong Sell 18.7 41.0 12 50 8 0 35 Financial Services $11.2B
BFRG
Bullfrog AI Holdings, Inc. Common S
$0.59 11.6M -2.50 Strong Sell 18.7 30.4 0 50 8 25 36 Healthcare $7M
IIF
Morgan Stanley India Investment Fun
$21.41 45K -2.50 Strong Sell 18.7 31.8 12 50 8 0 40 Financial Services $202M
USLM
United States Lime & Minerals, Inc.
$104.32 135K -2.50 Strong Sell 18.7 40.2 12 50 8 0 30 Basic Materials $2.9B
TCI
Transcontinental Realty Investors,
$34.70 7K -2.50 Strong Sell 18.7 26.2 0 50 8 25 39 Real Estate $317M
PGF
Invesco Financial Preferred ETF
$13.84 122K -2.50 Strong Sell 18.7 41.0 12 50 8 0 36 Financial Services $710M
RNGTW
Range Capital Acquisition Corp II W
$0.32 4K -2.50 Strong Sell 18.7 37.2 0 50 8 25 38 Financial Services $4M
ISD
PGIM High Yield Bond Fund, Inc.
$12.86 93K -2.50 Strong Sell 18.7 33.8 12 50 8 0 33 Financial Services $427M
PIO
Invesco Global Water ETF
$43.77 14K -2.50 Strong Sell 18.7 38.7 12 50 8 0 37 Financial Services $275M
PSKY
Paramount Skydance Corporation Clas
$9.82 13.7M -2.50 Strong Sell 18.7 24.9 12 50 8 0 38 Communication Servic $10.8B
GLBE
Global-e Online Ltd.
$28.87 1.4M -2.50 Strong Sell 18.7 40.8 0 50 8 25 41 Consumer Cyclical $4.9B
VLTO
Veralto Corporation
$86.71 2.0M -2.50 Strong Sell 18.7 35.6 12 50 8 0 46 Industrials $21.2B
RACE
Ferrari N.V.
$324.77 622K -2.50 Strong Sell 18.7 37.5 12 50 8 0 40 Consumer Cyclical $58.2B
UPBD
Upbound Group, Inc.
$17.23 897K -2.50 Strong Sell 18.7 33.3 12 50 8 0 36 Technology $995M
XHB
State Street SPDR S&P Homebuilders
$96.41 2.1M -2.50 Strong Sell 18.7 29.7 12 50 8 0 36 Financial Services $1.4B
OM
Outset Medical, Inc.
$3.72 180K -2.50 Strong Sell 18.7 29.1 12 50 8 0 41 Healthcare $72M
YUMC
Yum China Holdings, Inc.
$45.48 1.6M -2.50 Strong Sell 18.7 35.7 12 50 8 0 33 Consumer Cyclical $15.9B
VMBS
Vanguard Mortgage-Backed Securities
$46.32 1.6M -2.50 Strong Sell 18.7 33.5 12 50 8 0 37 Financial Services $16.8B
PSQH
PSQ Holdings, Inc.
$0.57 724K -2.50 Strong Sell 18.7 29.8 12 50 8 0 39 Technology $27M
MBRX
Moleculin Biotech, Inc.
$2.09 158K -2.50 Strong Sell 18.7 26.4 12 50 8 0 31 Healthcare $3M
LIF
Life360, Inc.
$39.47 1.3M -2.50 Strong Sell 18.7 34.9 12 50 8 0 42 Technology $3.2B
MVRL
ETRACS Monthly Pay 1.5x Leveraged M
$13.39 4K -2.50 Strong Sell 18.7 37.2 12 50 8 0 34 Financial Services $14M
CCK
Crown Holdings, Inc.
$97.16 1.1M -2.50 Strong Sell 18.7 40.7 12 50 8 0 39 Consumer Cyclical $10.6B
ZURA
Zura Bio Limited
$4.12 629K -2.50 Strong Sell 18.7 27.1 12 50 8 0 28 Healthcare $259M
OC
Owens Corning
$112.20 1.4M -2.50 Strong Sell 18.7 32.3 12 50 8 0 39 Industrials $8.7B
HTZ
Hertz Global Holdings, Inc.
$5.20 10.8M -2.50 Strong Sell 18.7 29.6 12 50 8 0 41 Industrials $1.6B
HEPS
D-Market Elektronik Hizmetler ve Ti
$2.65 269K -2.50 Strong Sell 18.7 29.6 12 50 8 0 42 Consumer Cyclical $866M
TY-P
Tri-Continental Corporation PFD $2.
$43.83 524 -2.50 Strong Sell 18.7 43.1 12 50 8 0 42 Financial Services $2.3B

Sign in to InsiderStreet

You'll also get our free weekly newsletter with
smart money signals, market insights, and alpha ideas.
Unsubscribe anytime.

For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms