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Below Lower Bollinger Band

Price has broken below the lower Bollinger Band

500 stocks match this screen
Market:
Avg Opinion
-0.71
Avg Technical
41.2
Avg Power
46.1
Avg RSI
46.8
Total Stocks
500
Symbol Price Avg Vol Opinion Label Technical Power MA Osc Trend Vol RSI Sector Mkt Cap
TRV
The Travelers Companies, Inc.
$296.84 0 +1.58 Buy 69.7 64.3 62 44 83 100 57 Financial Services $66.2B
AHR
American Healthcare REIT, Inc.
$51.12 0 +1.53 Buy 69.1 59.2 62 31 92 100 59 Real Estate $9.0B
CBUS
Cibus, Inc.
$2.66 0 +1.33 Buy 66.6 49.8 62 31 83 100 57 Healthcare $131M
AGNCL
AGNC Investment Corp.
$25.04 0 +1.33 Buy 66.6 55.7 62 31 83 100 53 Real Estate $9.7B
NVCT
Nuvectis Pharma, Inc.
$8.08 0 +1.28 Buy 65.9 47.1 50 44 83 100 53 Healthcare $218M
USFD
US Foods Holding Corp.
$89.33 0 +1.18 Buy 64.7 56.5 62 44 67 100 50 Consumer Defensive $19.9B
EBF
Ennis, Inc.
$20.45 0 +1.13 Buy 64.1 58.7 62 31 75 100 59 Industrials $524M
SWX
Southwest Gas Holdings, Inc.
$86.22 0 +1.05 Buy 63.1 57.6 62 38 67 100 60 Utilities $6.0B
AGM-PE
Federal Agricultural Mortgage Corpo
$21.74 0 +1.03 Buy 62.8 60.6 50 31 83 100 53 Financial Services $233M
AAA
Alternative Access First Priority C
$24.91 0 +1.00 Buy 62.5 58.5 50 50 67 100 60 Financial Services $42M
ARMK
Aramark
$39.16 0 +0.98 Neutral 62.2 61.5 38 44 83 100 53 Industrials $10.2B
CATX
Perspective Therapeutics, Inc.
$4.60 0 +0.93 Neutral 61.6 51.8 62 31 67 100 56 Healthcare $328M
NTST
NETSTREIT Corp.
$19.71 0 +0.90 Neutral 61.3 61.1 62 50 50 100 52 Real Estate $1.6B
BATRK
Atlanta Braves Holdings, Inc.
$42.46 0 +0.88 Neutral 61.0 56.2 50 44 67 100 59 Communication Servic $2.6B
COST
Costco Wholesale Corporation
$974.78 0 +0.88 Neutral 61.0 60.3 62 44 67 75 54 Consumer Defensive $431.4B
SON
Sonoco Products Company
$51.81 0 +0.88 Neutral 61.0 54.0 62 44 67 75 54 Consumer Cyclical $5.0B
CALM
Cal-Maine Foods, Inc.
$81.26 0 +0.73 Neutral 59.1 56.7 25 56 75 100 57 Consumer Defensive $3.7B
TATT
TAT Technologies Ltd.
$47.32 0 +0.68 Neutral 58.4 51.3 50 44 83 50 58 Industrials $557M
HUMA
Humacyte, Inc.
$0.85 0 +0.63 Neutral 57.8 47.1 25 56 83 75 50 Healthcare $112M
PROK
ProKidney Corp.
$1.95 0 +0.63 Neutral 57.8 48.1 25 56 83 75 46 Healthcare $543M
CSTM
Constellium SE
$23.72 0 +0.63 Neutral 57.8 57.8 50 31 67 100 54 Basic Materials $3.1B
DLX
Deluxe Corporation
$26.22 0 +0.58 Neutral 57.2 58.9 62 44 67 50 50 Communication Servic $1.2B
FDP
Fresh Del Monte Produce Inc.
$40.40 0 +0.53 Neutral 56.6 52.9 62 31 75 50 50 Consumer Defensive $1.9B
GLDI
UBS AG ETRACS Gold Shares Covered C
$168.28 0 +0.53 Neutral 56.6 56.1 50 31 75 75 53 Financial Services $139M
FCNCP
First Citizens BancShares, Inc.
$21.14 0 +0.53 Neutral 56.6 53.9 50 56 67 50 47 Financial Services $272M
EVSB
Eaton Vance Ultra-Short Income ETF
$50.75 0 +0.53 Neutral 56.6 56.1 62 56 67 25 61 Financial Services $266M
SIXH
ETC 6 Meridian Hedged Equity Index
$41.98 0 +0.50 Neutral 56.2 56.0 62 50 58 50 56 Financial Services $550M
MLTX
MoonLake Immunotherapeutics
$16.68 0 +0.50 Neutral 56.2 47.8 38 50 83 50 44 Healthcare $1.2B
MCK
McKesson Corporation
$898.95 0 +0.48 Neutral 56.0 59.0 62 44 50 75 53 Healthcare $109.3B
XEL
Xcel Energy Inc.
$79.53 0 +0.48 Neutral 56.0 47.2 62 44 50 75 56 Utilities $47.9B
ETRL
GraniteShares 2x Long ETOR Daily ET
$7.72 0 +0.45 Neutral 55.6 52.0 0 62 83 100 48 Financial Services $258,338
CCSI
Consensus Cloud Solutions, Inc.
$27.98 0 +0.43 Neutral 55.3 54.3 62 31 58 75 57 Technology $507M
ODVWZ
Osisko Development Corp. Warrant ex
$0.21 0 +0.43 Neutral 55.3 52.8 38 56 50 100 58 Basic Materials $23M
MONIX
Monachil Credit Income Fund
$9.95 0 +0.43 Neutral 55.3 57.9 62 31 83 25 71 Financial Services $21M
JNJ
Johnson & Johnson
$237.60 0 +0.43 Neutral 55.3 56.3 62 31 58 75 58 Healthcare $567.2B
PSHG
Performance Shipping Inc.
$1.84 0 +0.43 Neutral 55.3 51.6 38 56 75 50 49 Industrials $23M
FF
FutureFuel Corp.
$3.39 0 +0.43 Neutral 55.3 46.2 38 31 83 75 56 Basic Materials $138M
NANR
State Street SPDR S&P North America
$79.64 0 +0.40 Neutral 55.0 55.5 62 25 50 100 52 Financial Services $843M
MO
Altria Group, Inc.
$65.07 0 +0.38 Neutral 54.7 56.5 62 44 58 50 56 Consumer Defensive $108.2B
PECO
Phillips Edison & Company, Inc.
$37.49 0 +0.33 Neutral 54.1 50.8 62 31 67 50 51 Real Estate $4.6B
FGBIP
First Guaranty Bancshares, Inc.
$17.61 0 +0.33 Neutral 54.1 56.8 50 31 67 75 58 Financial Services $246M
LAMR
Lamar Advertising Company
$127.41 0 +0.33 Neutral 54.1 52.3 50 31 67 75 51 Real Estate $12.7B
SBDS
Solo Brands, Inc.
$4.26 0 +0.33 Neutral 54.1 48.6 25 56 58 100 51 Consumer Cyclical $7M
MITT-PB
AG Mortgage Investment Trust, Inc.
$21.51 0 +0.28 Neutral 53.5 50.5 50 44 67 50 50 Real Estate $215M
VOXR
Vox Royalty Corp.
$4.96 0 +0.28 Neutral 53.5 41.8 50 44 67 50 51 Basic Materials $248M
SSRM
SSR Mining Inc.
$24.09 0 +0.28 Neutral 53.5 50.9 50 44 67 50 48 Basic Materials $4.7B
MCD
McDonald's Corporation
$309.58 0 +0.28 Neutral 53.5 58.0 50 44 67 50 51 Consumer Cyclical $220.4B
KIM-PN
Kimco Realty Corporation
$60.26 0 +0.25 Neutral 53.1 48.9 62 38 58 50 58 Real Estate $40.7B
JRE
Janus Henderson U.S. Real Estate ET
$24.87 0 +0.20 Neutral 52.5 54.5 62 50 33 75 53 Financial Services $25M
EPR-PC
EPR Properties
$24.30 0 +0.20 Neutral 52.5 49.8 38 50 58 75 46 Real Estate $1.7B
WNW
Meiwu Technology Company Limited
$0.12 0 +0.18 Neutral 52.2 45.5 25 44 75 75 79 Consumer Cyclical $472,044
ATLCP
Atlanticus Holdings Corporation
$23.80 0 +0.18 Neutral 52.2 51.0 50 44 50 75 54 Financial Services $355M
MPU
Mega Matrix Corp.
$0.79 0 +0.18 Neutral 52.2 55.2 25 69 67 50 57 Industrials $44M
ELS
Equity LifeStyle Properties, Inc.
$65.22 0 +0.18 Neutral 52.2 55.6 62 44 50 50 55 Real Estate $12.5B
NMRA
Neumora Therapeutics, Inc. Common S
$2.57 0 +0.18 Neutral 52.2 41.6 50 44 50 75 46 Healthcare $419M
CINF
Cincinnati Financial Corporation
$157.86 0 +0.18 Neutral 52.2 55.0 50 44 50 75 54 Financial Services $24.7B
PPTA
Perpetua Resources Corp.
$26.61 0 +0.15 Neutral 51.9 44.5 38 38 67 75 48 Basic Materials $3.0B
HCA
HCA Healthcare, Inc.
$499.65 0 +0.15 Neutral 51.9 53.7 50 38 67 50 50 Healthcare $110.4B
DFAR
Dimensional - US Real Estate ETF
$24.25 0 +0.15 Neutral 51.9 54.3 62 38 42 75 50 Financial Services $1.6B
D
Dominion Energy, Inc.
$61.03 0 +0.15 Neutral 51.9 53.4 50 38 42 100 56 Utilities $52.2B
AAUC
Allied Gold Corporation
$31.02 0 +0.13 Neutral 51.6 46.3 62 31 33 100 55 Basic Materials $3.8B
OLP
One Liberty Properties, Inc.
$22.57 0 +0.13 Neutral 51.6 47.2 62 31 58 50 51 Real Estate $482M
LUCD
Lucid Diagnostics Inc.
$1.28 0 +0.13 Neutral 51.6 44.1 50 31 58 75 54 Healthcare $127M
DBB
Invesco DB Base Metals Fund
$22.95 0 +0.13 Neutral 51.6 45.0 50 31 58 75 51 Financial Services $329M
PSR
Invesco Active U.S. Real Estate ETF
$95.81 0 +0.10 Neutral 51.3 54.0 62 50 42 50 51 Financial Services $48M
TEN-PE
Tsakos Energy Navigation Limited
$26.29 0 +0.08 Neutral 50.9 54.4 50 44 58 50 37 Energy $776M
MAYA
Maywood Acquisition Corp.
$10.32 0 +0.08 Neutral 50.9 52.1 50 44 58 50 56 Financial Services $113M
CBAT
CBAK Energy Technology, Inc.
$0.85 0 +0.08 Neutral 50.9 45.2 25 44 58 100 63 Industrials $74M
TMUS
T-Mobile US, Inc.
$206.59 0 +0.08 Neutral 50.9 59.8 38 44 58 75 53 Communication Servic $233.2B
RCEL
AVITA Medical, Inc.
$4.03 0 +0.05 Neutral 50.6 45.8 25 38 75 75 50 Healthcare $98M
GNR
State Street SPDR S&P Global Natura
$71.39 0 +0.03 Neutral 50.3 43.6 62 31 42 75 52 Financial Services $4.0B
WKEY
WISeKey International Holding AG
$6.47 0 +0.03 Neutral 50.3 44.7 12 56 58 100 50 Technology $38M
FR
First Industrial Realty Trust, Inc.
$58.83 0 +0.03 Neutral 50.3 51.4 50 31 67 50 52 Real Estate $7.6B
ACH
Accendra Health, Inc.
$2.03 0 +0.03 Neutral 50.3 40.3 25 31 67 100 51 Healthcare $150M
ENSG
The Ensign Group, Inc.
$202.49 0 +0.03 Neutral 50.3 53.3 62 31 42 75 57 Healthcare $11.6B
ELE
Elemental Royalty Corporation Commo
$18.35 0 +0.03 Neutral 50.3 46.3 25 31 67 100 53 Basic Materials $1.1B
CNVS
Cineverse Corp.
$2.40 0 +0.00 Neutral 50.0 41.0 25 50 75 50 47 Communication Servic $49M
ARVN
Arvinas, Inc.
$11.17 0 +0.00 Neutral 50.0 47.4 38 50 75 25 42 Healthcare $703M
IBIO
iBio, Inc.
$2.10 0 -0.02 Neutral 49.7 45.1 38 44 67 50 47 Healthcare $33M
PHYS
Sprott Physical Gold Trust
$35.05 0 -0.02 Neutral 49.7 42.0 50 44 67 25 47 Financial Services $16.3B
CNA
CNA Financial Corporation
$45.12 0 -0.02 Neutral 49.7 47.1 25 44 67 75 47 Financial Services $12.3B
SMTC
Semtech Corporation
$78.35 0 -0.02 Neutral 49.7 45.4 38 44 42 100 54 Technology $6.8B
LUCK
Lucky Strike Entertainment Corporat
$7.86 0 -0.05 Neutral 49.4 48.2 12 62 75 50 44 Consumer Cyclical $1.1B
O
Realty Income Corporation
$62.64 0 -0.07 Neutral 49.1 49.1 62 31 50 50 53 Real Estate $56.8B
GQGU
GQG US Equity ETF
$26.51 0 -0.10 Neutral 48.7 53.0 38 50 58 50 61 Financial Services $247M
TDSB
ETC Cabana Target Beta ETF
$24.53 0 -0.12 Neutral 48.5 52.9 50 44 50 50 51 Financial Services $51M
REMX
VanEck Rare Earth and Strategic Met
$82.95 0 -0.12 Neutral 48.5 50.7 50 44 50 50 46 Financial Services $1.0B
AP
Ampco-Pittsburgh Corporation
$6.90 0 -0.15 Neutral 48.1 40.7 50 38 67 25 49 Industrials $139M
LODE
Comstock Inc.
$2.73 0 -0.15 Neutral 48.1 48.1 25 62 58 50 44 Real Estate $95M
CSRE
Cohen & Steers Real Estate Active E
$27.05 0 -0.15 Neutral 48.1 52.7 50 38 42 75 51 Financial Services $62M
ODC
Oil-Dri Corporation of America
$60.46 0 -0.15 Neutral 48.1 55.9 62 38 42 50 45 Basic Materials $833M
KMT
Kennametal Inc.
$35.18 0 -0.17 Neutral 47.8 44.8 50 31 58 50 47 Industrials $2.6B
FAST
Fastenal Company
$44.49 0 -0.17 Neutral 47.8 57.2 50 31 58 50 50 Industrials $50.3B
WPC
W. P. Carey Inc.
$69.38 0 -0.17 Neutral 47.8 53.2 38 56 50 50 48 Real Estate $14.8B
NXST
Nexstar Media Group, Inc.
$223.05 0 -0.17 Neutral 47.8 47.4 50 31 58 50 50 Communication Servic $6.9B
REIT
ALPS Active REIT ETF
$27.91 0 -0.17 Neutral 47.8 52.6 62 31 33 75 53 Financial Services $47M
TBCH
Turtle Beach Corporation
$11.23 0 -0.17 Neutral 47.8 50.4 12 56 75 50 50 Technology $222M
AMGN
Amgen Inc.
$349.92 0 -0.20 Neutral 47.5 55.1 50 50 42 50 48 Healthcare $187.5B
USG
USCF Gold Strategy Plus Income Fund
$37.01 0 -0.20 Neutral 47.5 51.9 38 50 67 25 48 Financial Services $16M
RNTY
YieldMax Target 12 Real Estate Opti
$49.59 0 -0.22 Neutral 47.2 52.4 38 44 33 100 51 Financial Services $2M
NKSH
National Bankshares, Inc.
$36.50 0 -0.22 Neutral 47.2 51.4 38 44 33 100 56 Financial Services $227M
NGG
National Grid plc
$85.53 0 -0.22 Neutral 47.2 49.3 50 44 33 75 57 Utilities $81.5B
VABS
Virtus Newfleet Securitized Income
$24.27 0 -0.22 Neutral 47.2 52.4 50 44 33 75 49 Financial Services $78M
GGT
The Gabelli Multimedia Trust Inc.
$3.97 0 -0.22 Neutral 47.2 45.4 50 44 58 25 49 Financial Services $160M
FNV
Franco-Nevada Corporation
$231.05 0 -0.25 Neutral 46.9 50.0 50 38 50 50 47 Basic Materials $42.9B
CHSCO
CHS Inc.
$26.02 0 -0.25 Neutral 46.9 42.8 50 38 50 50 58 Consumer Defensive $320M
GNE
Genie Energy Ltd.
$13.86 0 -0.25 Neutral 46.9 47.8 25 38 50 100 55 Utilities $361M
ETOR
eToro Group Ltd.
$29.38 0 -0.25 Neutral 46.9 50.7 12 62 67 50 48 Financial Services $2.5B
VKI
Invesco Advantage Municipal Income
$8.99 0 -0.27 Neutral 46.6 45.2 50 31 42 75 56 Financial Services $389M
FCA
First Trust China AlphaDEX Fund
$32.28 0 -0.27 Neutral 46.6 44.6 50 31 42 75 48 Financial Services $60M
RAPP
Rapport Therapeutics, Inc. Common S
$27.46 0 -0.27 Neutral 46.6 44.7 38 56 58 25 44 Healthcare $988M
CSRIX
Cohen & Steers Institutional Realty
$50.85 0 -0.32 Neutral 45.9 51.9 62 69 33 0 49 Financial Services $3.3B
AUGO
Aura Minerals
$66.47 0 -0.32 Neutral 46.0 48.8 25 44 67 50 50 Basic Materials $5.1B
VEEAW
Veea Inc.
$0.05 0 -0.32 Neutral 46.0 55.9 25 44 42 100 56 Technology $7M
CSJZX
Cohen & Steers Realty Shares Fund C
$69.83 0 -0.32 Neutral 45.9 51.9 62 69 33 0 49 Financial Services $7.6B
ET-PI
Energy Transfer LP
$11.82 0 -0.32 Neutral 46.0 48.6 62 44 42 25 40 Energy $39.5B
CSRSX
Cohen & Steers Realty Shares Fund
$69.66 0 -0.32 Neutral 45.9 51.9 62 69 33 0 49 Financial Services $4.5B
THAR
Tharimmune, Inc.
$4.07 0 -0.32 Neutral 46.0 43.6 62 44 42 25 45 Healthcare $161M
CANC
Tema Oncology ETF
$35.74 0 -0.35 Neutral 45.6 51.7 38 38 58 50 49 Financial Services $111M
CHSCL
CHS Inc.
$25.39 0 -0.35 Neutral 45.6 52.3 50 38 58 25 58 Consumer Defensive $311M
CHSCN
CHS Inc.
$25.00 0 -0.37 Neutral 45.3 44.7 50 31 50 50 53 Consumer Defensive $307M
ES
Eversource Energy
$69.62 0 -0.37 Neutral 45.3 46.2 50 31 50 50 53 Utilities $25.0B
DCRE
DoubleLine Commercial Real Estate E
$51.91 0 -0.37 Neutral 45.3 51.6 50 56 42 25 50 Financial Services $154M
AREC
American Resources Corporation
$2.80 0 -0.37 Neutral 45.3 42.4 38 56 42 50 48 Energy $263M
HITI
High Tide Inc.
$2.32 0 -0.37 Neutral 45.3 43.8 0 56 67 75 52 Healthcare $197M
EPR-PE
EPR Properties
$31.46 0 -0.40 Neutral 45.0 46.8 38 50 33 75 47 Real Estate $2.3B
SPB
Spectrum Brands Holdings, Inc.
$71.94 0 -0.40 Neutral 45.0 48.1 62 50 33 25 49 Consumer Defensive $1.6B
PZG
Paramount Gold Nevada Corp.
$1.67 0 -0.40 Neutral 45.0 40.4 38 50 58 25 43 Basic Materials $135M
SGOL
abrdn Physical Gold Shares ETF
$44.23 0 -0.42 Neutral 44.7 45.2 50 44 50 25 48 Financial Services $8.9B
AGI
Alamos Gold Inc.
$39.62 0 -0.42 Neutral 44.7 47.8 50 44 50 25 46 Basic Materials $16.1B
PSMT
PriceSmart, Inc.
$142.67 0 -0.42 Neutral 44.7 43.4 38 44 25 100 54 Consumer Defensive $4.3B
HYMC
Hycroft Mining Holding Corporation
$31.76 0 -0.42 Neutral 44.7 40.0 38 44 50 50 47 Basic Materials $2.7B
HON
Honeywell International Inc.
$229.03 0 -0.42 Neutral 44.7 59.1 50 44 50 25 48 Industrials $140.8B
OUNZ
VanEck Merk Gold ETF
$44.65 0 -0.42 Neutral 44.7 38.9 50 44 50 25 48 Financial Services $2.2B
IAU
iShares Gold Trust
$87.37 0 -0.42 Neutral 44.7 36.4 50 44 50 25 48 Financial Services $69.4B
MITT-PA
AG Mortgage Investment Trust, Inc.
$22.48 0 -0.42 Neutral 44.7 55.0 38 44 50 50 49 Real Estate $226M
THG
The Hanover Insurance Group, Inc.
$169.58 0 -0.42 Neutral 44.7 52.4 25 44 50 75 46 Financial Services $5.9B
DGP
DB Gold Double Long ETN
$180.82 0 -0.42 Neutral 44.7 47.6 50 44 50 25 47 Financial Services $188M
TFPM
Triple Flag Precious Metals Corp.
$31.80 0 -0.42 Neutral 44.7 49.1 38 44 50 50 45 Basic Materials $6.3B
DBP
Invesco DB Precious Metals Fund
$109.04 0 -0.42 Neutral 44.7 35.2 38 44 50 50 47 Financial Services $280M
IAUM
iShares Gold Trust Micro
$46.26 0 -0.42 Neutral 44.7 46.4 50 44 50 25 48 Financial Services $4.9B
CCEP
Coca-Cola Europacific Partners PLC
$94.71 0 -0.42 Neutral 44.7 48.3 38 44 50 50 48 Consumer Defensive $41.2B
BAR
GraniteShares Gold Trust
$45.73 0 -0.42 Neutral 44.7 37.5 50 44 50 25 48 Financial Services $1.6B
GLDM
SPDR Gold MiniShares Trust
$91.86 0 -0.42 Neutral 44.7 41.1 50 44 50 25 48 Financial Services $28.9B
HLP
Hongli Group Inc.
$0.99 0 -0.42 Neutral 44.7 49.6 38 44 50 50 51 Basic Materials $72M
SCHH
Schwab U.S. REIT ETF
$22.08 0 -0.45 Neutral 44.4 51.3 50 38 17 100 50 Financial Services $9.4B
HIG-PG
The Hartford Financial Services Gro
$24.84 0 -0.45 Neutral 44.4 45.4 38 38 42 75 47 Financial Services $18.3B
ICU
SeaStar Medical Holding Corporation
$2.27 0 -0.45 Neutral 44.4 37.0 50 38 67 0 45 Healthcare $6M
FRPT
Freshpet, Inc.
$63.17 0 -0.45 Neutral 44.4 50.7 38 38 67 25 44 Consumer Defensive $3.2B
DABS
DoubleLine Asset-Backed Securities
$50.89 0 -0.45 Neutral 44.4 51.3 62 38 42 25 53 Financial Services $60M
RLI
RLI Corp.
$58.09 0 -0.47 Neutral 44.1 48.5 25 56 50 50 52 Financial Services $5.3B
CREG
Smart Powerr Corp.
$0.34 0 -0.47 Neutral 44.1 38.1 0 56 50 100 52 Utilities $6M
STRD
MicroStrategy Incorporated 10.00% S
$74.15 0 -0.47 Neutral 44.1 42.8 25 56 50 50 48 Financial Services $20.2B
CASS
Cass Information Systems, Inc.
$43.15 0 -0.47 Neutral 44.1 53.3 50 31 33 75 50 Industrials $568M
BLNE
Beeline Holdings, Inc.
$2.49 0 -0.47 Neutral 44.1 42.1 50 31 58 25 48 Consumer Defensive $21M
RANI
Rani Therapeutics Holdings, Inc.
$1.15 0 -0.47 Neutral 44.1 41.3 25 56 50 50 49 Healthcare $82M
FRI
First Trust S&P REIT Index Fund
$29.05 0 -0.47 Neutral 44.1 51.1 62 31 33 50 51 Financial Services $164M
HOTH
Hoth Therapeutics, Inc.
$0.92 0 -0.47 Neutral 44.1 43.8 25 56 50 50 53 Healthcare $12M
MP
MP Materials Corp.
$53.10 0 -0.47 Neutral 44.1 43.8 12 56 50 75 49 Basic Materials $9.0B
GROW
U.S. Global Investors, Inc.
$3.08 0 -0.47 Neutral 44.1 43.7 62 31 33 50 54 Financial Services $38M
THC
Tenet Healthcare Corporation
$205.11 0 -0.50 Neutral 43.8 50.8 50 50 42 25 44 Healthcare $17.6B
PIREX
Principal Real Estate Securities Fu
$29.28 0 -0.52 Neutral 43.5 50.9 62 69 25 0 48 $6.3B
LNKS
Linkers Industries Limited
$0.88 0 -0.52 Neutral 43.4 47.1 50 44 33 50 50 Industrials $9M
HOVRW
New Horizon Aircraft Ltd.
$0.34 0 -0.52 Neutral 43.4 44.3 25 44 33 100 51 Industrials $16M
SOGP
Sound Group Inc.
$12.66 0 -0.52 Neutral 43.4 47.1 38 44 33 75 43 Technology $66M
SJLD
SanJac Alpha Low Duration ETF
$25.20 0 -0.52 Neutral 43.5 50.9 50 31 50 38 52 Financial Services $991,927
L
Loews Corporation
$105.65 0 -0.55 Neutral 43.1 50.9 38 38 50 50 48 Financial Services $21.8B
CHSCM
CHS Inc.
$24.87 0 -0.55 Neutral 43.1 43.8 38 38 50 50 42 Consumer Defensive $302M
CRED
Columbia Research Enhanced Real Est
$21.23 0 -0.55 Neutral 43.1 50.7 62 38 25 50 51 Financial Services $3M
AIAGX
Aberdeen Realty Income and Growth F
$11.15 0 -0.57 Neutral 42.8 50.6 62 56 33 0 51 Financial Services $35M
TCREX
TIAA-CREF Real Estate Securities Fu
$18.52 0 -0.57 Neutral 42.8 50.6 62 56 33 0 47 Real Estate $2.4B
AIGYX
abrdn Realty Income & Growth Fund I
$11.26 0 -0.57 Neutral 42.8 50.6 62 56 33 0 50 Financial Services $35M
IQQQ
ProShares - Nasdaq-100 High Income
$43.01 0 -0.57 Neutral 42.8 50.6 25 31 42 100 47 Financial Services $342M
NREAX
Neuberger Berman Real Estate Fund
$14.19 0 -0.57 Neutral 42.8 50.6 62 56 33 0 49 Real Estate $472M
NBRFX
Neuberger Berman Real Estate Fund T
$14.19 0 -0.57 Neutral 42.8 50.6 62 56 33 0 49 Real Estate $472M
JPRE
JPMorgan Realty Income ETF
$49.37 0 -0.57 Neutral 42.8 50.6 50 31 17 100 51 Financial Services $489M
NRREX
Neuberger Berman Real Estate Fund
$14.24 0 -0.57 Neutral 42.8 50.6 62 56 33 0 49 Real Estate $474M
CPNM
Calamos Nasdaq-100 Structured Alt P
$26.13 0 -0.60 Neutral 42.5 50.5 38 25 33 100 52 Financial Services $12M
PRPFX
Permanent Portfolio Class I
$78.40 0 -0.60 Neutral 42.5 50.5 50 50 50 0 46 Financial Services $7.6B
MS-PP
Morgan Stanley
$25.48 0 -0.60 Neutral 42.5 42.4 38 50 50 25 39 Financial Services $40.2B
GGM
GGM Macro Alignment ETF
$28.05 0 -0.62 Neutral 42.2 50.4 38 69 8 75 45 Financial Services $17M
EIM
Eaton Vance Municipal Bond Fund
$9.85 0 -0.62 Neutral 42.2 44.3 38 44 42 50 43 Financial Services $526M
APLM
Apollomics, Inc.
$19.10 0 -0.62 Neutral 42.2 45.8 38 44 42 50 47 Healthcare $20M
EMCB
WisdomTree Emerging Markets Corpora
$66.32 0 -0.67 Neutral 41.6 50.1 38 56 42 25 36 Financial Services $97M
GLD
SPDR Gold Shares
$426.41 0 -0.67 Neutral 41.6 38.4 50 31 50 25 48 Financial Services $154.7B
ICCC
ImmuCell Corporation
$6.15 0 -0.67 Neutral 41.6 39.0 38 31 50 50 48 Healthcare $55M
ZBIO
Zenas BioPharma, Inc.
$23.37 0 -0.67 Neutral 41.6 43.8 50 56 42 0 41 Healthcare $996M
NBOS
Neuberger Berman Option Strategy ET
$27.10 0 -0.67 Neutral 41.6 50.1 38 31 50 50 48 Financial Services $437M
SCHD
Schwab U.S. Dividend Equity ETF
$30.59 0 -0.70 Neutral 41.2 40.0 50 50 33 25 48 Financial Services $85.4B
BMEA
Biomea Fusion, Inc.
$1.09 0 -0.70 Neutral 41.2 34.5 25 50 58 25 42 Healthcare $68M
HDLB
ETRACS Monthly Pay 2xLeveraged US H
$17.15 0 -0.70 Neutral 41.2 47.7 50 50 33 25 52 Financial Services $7M
CIX
CompX International Inc.
$23.00 0 -0.70 Neutral 41.2 43.4 25 50 33 75 45 Industrials $280M
TRX
TRX Gold Corporation
$1.38 0 -0.70 Neutral 41.2 50.1 50 50 33 25 47 Basic Materials $367M
HWM
Howmet Aerospace Inc.
$232.94 0 -0.72 Neutral 41.0 55.8 62 44 25 25 46 Industrials $93.1B
NXE
NexGen Energy Ltd.
$11.39 0 -0.72 Neutral 41.0 39.9 38 44 50 25 44 Energy $7.4B
NAN
Nuveen New York Quality Municipal I
$11.33 0 -0.72 Neutral 41.0 44.3 38 44 25 75 49 Financial Services $347M
CEF
Sprott Physical Gold and Silver Tru
$46.56 0 -0.72 Neutral 41.0 46.0 38 44 50 25 46 Financial Services $8.6B
AVIE
Avantis Inflation Focused Equity ET
$71.47 0 -0.75 Neutral 40.6 49.7 62 38 17 50 51 Financial Services $7M
LXEO
Lexeo Therapeutics, Inc. Common Sto
$5.79 0 -0.75 Neutral 40.6 41.3 12 62 33 75 42 Healthcare $412M
REZ
iShares Residential and Multisector
$85.86 0 -0.75 Neutral 40.6 42.2 38 38 42 50 49 Financial Services $808M

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