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Death Cross

SMA 50 below SMA 200 with weak MA alignment

500 stocks match this screen
Market:
Avg Opinion
-0.88
Avg Technical
39.0
Avg Power
44.2
Avg RSI
45.2
Total Stocks
500
Symbol Price Avg Vol Opinion Label Technical Power MA Osc Trend Vol RSI Sector Mkt Cap
NTHI
Neonc Technologies Holdings, Inc.
$5.34 0 +1.03 Buy 62.8 49.7 25 56 100 75 48 Healthcare $110M
ATGL
Alpha Technology Group Limited
$15.28 0 +0.75 Neutral 59.4 61.2 25 62 83 75 48 Technology $236M
TSLY
YieldMax TSLA Option Income Strateg
$29.62 0 +0.73 Neutral 59.1 49.6 25 56 75 100 48 Financial Services $660M
PAR
PAR Technology Corporation
$14.00 0 +0.73 Neutral 59.1 53.4 25 56 75 100 47 Technology $607M
VRDN
Viridian Therapeutics, Inc.
$16.10 0 +0.73 Neutral 59.1 58.1 25 56 100 50 46 Healthcare $1.4B
BMAX
REX Bitcoin Corporate Treasury Conv
$22.34 0 +0.60 Neutral 57.5 58.8 25 50 75 100 59 Financial Services $6M
PLAG
Planet Green Holdings Corp.
$1.64 0 +0.43 Neutral 55.3 62.9 25 56 75 75 47 Consumer Defensive $14M
JKS
JinkoSolar Holding Co., Ltd.
$23.70 0 +0.43 Neutral 55.3 58.5 25 56 75 75 48 Energy $291M
LIDR
AEye, Inc.
$1.86 0 +0.33 Neutral 54.1 44.2 25 56 83 50 46 Consumer Cyclical $83M
GS-PD
The Goldman Sachs Group, Inc.
$19.11 0 +0.33 Neutral 54.1 56.6 25 56 58 100 46 Financial Services $203.4B
DWTX
Dogwood Therapeutics, Inc.
$1.70 0 +0.30 Neutral 53.8 45.9 25 50 75 75 48 Healthcare $4M
RDACU
Rising Dragon Acquisition Corp.
$6.54 0 +0.28 Neutral 53.4 59.9 25 69 58 75 45 Financial Services $54M
VTGN
VistaGen Therapeutics, Inc.
$0.60 0 +0.25 Neutral 53.1 39.6 25 62 75 50 47 Healthcare $21M
EVN
Eaton Vance Municipal Income Trust
$10.50 0 +0.23 Neutral 52.8 48.8 12 56 67 100 49 Financial Services $418M
QVCGP
QVC Group Inc.
$2.57 0 +0.23 Neutral 52.8 57.9 12 56 92 50 56 Consumer Cyclical $21M
SNES
SenesTech, Inc.
$1.59 0 +0.23 Neutral 52.8 48.6 12 56 67 100 48 Basic Materials $8M
SST
System1, Inc.
$2.92 0 +0.20 Neutral 52.5 51.9 12 50 83 75 44 Industrials $28M
IOR
Income Opportunity Realty Investors
$18.00 0 +0.20 Neutral 52.5 51.8 12 50 83 75 70 Financial Services $73M
MDXG
MiMedx Group, Inc.
$3.59 0 +0.18 Neutral 52.2 58.5 25 69 42 100 48 Healthcare $542M
NCTY
The9 Limited
$5.33 0 +0.15 Neutral 51.9 51.2 25 62 58 75 44 Technology $25M
BABX
GraniteShares 2x Long BABA Daily ET
$26.83 0 +0.15 Neutral 51.9 50.5 25 62 58 75 46 Financial Services $68M
MBUU
Malibu Boats, Inc.
$25.62 0 +0.13 Neutral 51.6 48.2 25 56 75 50 46 Consumer Cyclical $488M
RYTM
Rhythm Pharmaceuticals, Inc.
$86.84 0 +0.13 Neutral 51.6 50.7 25 56 75 50 47 Healthcare $6.0B
MNPR
Monopar Therapeutics Inc.
$56.25 0 +0.13 Neutral 51.6 47.9 25 56 75 50 46 Healthcare $370M
SGRP
SPAR Group, Inc.
$0.65 0 +0.13 Neutral 51.6 48.0 25 56 75 50 54 Industrials $17M
AUBN
Auburn National Bancorporation, Inc
$23.51 0 +0.13 Neutral 51.6 47.5 25 56 50 100 47 Financial Services $83M
AEI
Alset Inc.
$1.64 0 +0.13 Neutral 51.6 36.2 12 56 75 75 44 Real Estate $62M
MUA
BlackRock MuniAssets Fund, Inc.
$10.61 0 +0.13 Neutral 51.6 47.2 12 56 75 75 47 Financial Services $404M
ALFUW
Centurion Acquisition Corp.
$0.14 0 +0.13 Neutral 51.6 47.6 25 56 75 50 48 Financial Services $4M
CALC
CalciMedica, Inc.
$0.62 0 +0.03 Neutral 50.3 44.5 25 56 58 75 47 Healthcare $10M
VRP
Invesco Variable Rate Preferred ETF
$24.23 0 +0.03 Neutral 50.3 53.6 25 31 67 100 47 Financial Services $2.6B
RANI
Rani Therapeutics Holdings, Inc.
$0.97 0 +0.03 Neutral 50.3 48.8 25 56 58 75 49 Healthcare $58M
FFAI
Faraday Future Intelligent Electric
$0.35 0 +0.03 Neutral 50.3 48.2 25 56 58 75 47 Consumer Cyclical $29M
USB-PP
U.S. Bancorp
$22.11 0 +0.03 Neutral 50.3 45.3 25 56 58 75 44 Financial Services $68.5B
TOIIW
The Oncology Institute, Inc.
$0.04 0 +0.03 Neutral 50.3 52.0 12 56 58 100 47 Healthcare $4M
VVV
Valvoline Inc.
$33.24 0 +0.00 Neutral 50.0 58.3 25 75 42 75 49 Energy $4.1B
CHNR
China Natural Resources, Inc.
$3.99 0 +0.00 Neutral 50.0 50.7 12 50 75 75 48 Industrials $5M
GPATW
GP-Act III Acquisition Corp.
$0.16 0 -0.02 Neutral 49.7 48.4 0 69 58 100 48 Financial Services $6M
BTOC
Armlogi Holding Corp. common stock
$0.28 0 -0.02 Neutral 49.7 47.7 25 69 58 50 46 Industrials $13M
MAT
Mattel, Inc.
$14.94 0 -0.02 Neutral 49.7 54.3 12 69 58 75 49 Consumer Cyclical $4.4B
RGTIW
Rigetti Computing, Inc.
$7.16 0 -0.02 Neutral 49.7 46.9 25 44 67 75 45 Technology $2.3B
HSAI
Hesai Group
$22.01 0 -0.07 Neutral 49.1 46.4 12 56 67 75 48 Consumer Cyclical $2.6B
WKHS
Workhorse Group Inc.
$2.98 0 -0.07 Neutral 49.1 55.7 25 56 67 50 46 Consumer Cyclical $31M
NEO
NeoGenomics, Inc.
$8.37 0 -0.07 Neutral 49.1 51.4 25 56 67 50 46 Healthcare $218M
STSS
Sharps Technology, Inc.
$1.80 0 -0.10 Neutral 48.7 45.5 25 50 58 75 46 Healthcare $45M
KBAB
KraneShares 2X Long BABA Daily ETFâ
$10.54 0 -0.15 Neutral 48.1 49.0 25 62 58 50 46 Financial Services $2M
ALTS
ALT5 Sigma Corporation
$0.85 0 -0.15 Neutral 48.1 42.7 12 62 58 75 53 Technology $120M
EVTL
Vertical Aerospace Ltd.
$2.43 0 -0.17 Neutral 47.8 43.6 0 56 75 75 44 Industrials $238M
AIRJW
AirJoule Technologies Corporation
$0.65 0 -0.17 Neutral 47.8 44.6 12 56 75 50 47 Industrials $45M
VALN
Valneva SE
$5.71 0 -0.17 Neutral 47.8 51.2 12 56 75 50 44 Healthcare $513M
TANH
Tantech Holdings Ltd
$0.39 0 -0.17 Neutral 47.8 47.0 25 56 50 75 46 Consumer Defensive $3M
USEG
U.S. Energy Corp.
$0.95 0 -0.17 Neutral 47.8 51.5 25 56 50 75 50 Energy $32M
KTTA
Pasithea Therapeutics Corp.
$0.77 0 -0.17 Neutral 47.8 45.7 25 56 50 75 49 Healthcare $5M
AMRN
Amarin Corporation plc
$14.06 0 -0.17 Neutral 47.8 41.2 12 56 75 50 41 Healthcare $291M
AISP
Airship AI Holdings, Inc.
$2.39 0 -0.17 Neutral 47.8 47.6 25 56 75 25 48 Technology $80M
HSPT
Horizon Space Acquisition II Corp.
$7.81 0 -0.17 Neutral 47.8 49.3 25 56 50 75 47 Financial Services $64M
SPCE
Virgin Galactic Holdings, Inc.
$2.58 0 -0.17 Neutral 47.8 37.5 25 56 75 25 47 Industrials $156M
BILL
Bill.com Holdings, Inc.
$38.52 0 -0.17 Neutral 47.8 52.8 12 56 75 50 47 Technology $3.8B
XHYI
BondBloxx USD High Yield Bond Indus
$37.53 0 -0.17 Neutral 47.8 42.6 25 56 50 75 48 Financial Services $35M
HYLS
First Trust Tactical High Yield ETF
$40.84 0 -0.20 Neutral 47.5 42.5 25 50 67 50 47 Financial Services $1.6B
GTBP
GT Biopharma, Inc.
$0.36 0 -0.22 Neutral 47.2 48.6 12 69 50 75 49 Healthcare $5M
MGIH
Millennium Group International Hold
$1.42 0 -0.22 Neutral 47.2 49.0 12 44 58 100 48 Consumer Cyclical $16M
IMMP
Immutep Limited
$0.49 0 -0.22 Neutral 47.2 39.5 25 69 50 50 43 Healthcare $74M
CULP
Culp, Inc.
$3.06 0 -0.27 Neutral 46.6 44.2 25 56 58 50 40 Consumer Cyclical $38M
LNSR
LENSAR, Inc.
$5.63 0 -0.27 Neutral 46.6 41.2 12 56 58 75 45 Healthcare $70M
TAOP
Taoping Inc.
$1.29 0 -0.27 Neutral 46.6 39.4 25 56 58 50 48 Technology $1M
SARO
StandardAero, Inc.
$25.74 0 -0.27 Neutral 46.6 53.0 25 56 58 50 49 Industrials $8.4B
CRF
Cornerstone Total Return Fund, Inc.
$7.06 0 -0.27 Neutral 46.6 51.6 25 56 58 50 43 Financial Services $838M
TMC
TMC the metals company Inc.
$5.16 0 -0.27 Neutral 46.6 46.6 25 56 58 50 46 Basic Materials $2.2B
SBI
Western Asset Intermediate Muni Fun
$7.71 0 -0.27 Neutral 46.6 47.4 12 56 58 75 48 Financial Services $109M
PERF
Perfect Corp.
$1.68 0 -0.27 Neutral 46.6 54.2 25 31 67 75 51 Technology $169M
CHAI
Core AI Holdings
$1.17 0 -0.30 Neutral 46.3 54.9 25 50 50 75 49 Financial Services $22M
OAK-PB
Oaktree Capital Group, LLC
$20.68 0 -0.32 Neutral 45.9 42.2 0 69 58 75 49 Financial Services $2.5B
SLI
Standard Lithium Ltd.
$3.64 0 -0.32 Neutral 45.9 44.7 25 69 58 25 44 Basic Materials $731M
RIGL
Rigel Pharmaceuticals, Inc.
$28.61 0 -0.32 Neutral 46.0 50.9 25 44 67 50 47 Healthcare $524M
APLM
Apollomics, Inc.
$14.60 0 -0.32 Neutral 45.9 54.9 25 69 33 75 48 Healthcare $16M
INO
Inovio Pharmaceuticals, Inc.
$1.22 0 -0.35 Neutral 45.6 41.9 12 62 50 75 45 Healthcare $65M
AGIO
Agios Pharmaceuticals, Inc.
$28.21 0 -0.35 Neutral 45.6 45.5 25 38 58 75 48 Healthcare $1.6B
ISPR
Ispire Technology Inc.
$1.61 0 -0.37 Neutral 45.3 40.7 25 56 42 75 47 Consumer Defensive $123M
PFFL
ETRACS 2xMonthly Pay Leveraged Pref
$7.90 0 -0.37 Neutral 45.3 51.6 12 56 67 50 40 Financial Services $5M
GPUS
Hyperscale Data, Inc.
$0.14 0 -0.37 Neutral 45.3 41.9 12 56 42 100 50 Industrials $14M
VIRC
Virco Mfg. Corporation
$6.02 0 -0.37 Neutral 45.3 47.4 0 56 67 75 47 Consumer Cyclical $93M
F-PC
Ford Motor Company 6% Notes due
$20.31 0 -0.40 Neutral 45.0 46.4 25 50 58 50 42 Consumer Cyclical $40.4B
F-PB
Ford Motor Company 6.20% Notes
$20.91 0 -0.40 Neutral 45.0 46.5 25 50 58 50 43 Consumer Cyclical $41.1B
RNWWW
ReNew Energy Global plc
$0.01 0 -0.42 Neutral 44.7 49.3 0 56 58 88 49 Utilities $1M
QLTI
GMO International Quality ETF
$25.77 0 -0.42 Neutral 44.7 51.4 25 44 50 75 47 Financial Services $75M
PRTC
PureTech Health plc
$16.73 0 -0.42 Neutral 44.7 41.1 25 44 50 75 53 Healthcare $416M
UNL
United States 12 Month Natural Gas
$6.53 0 -0.42 Neutral 44.7 48.6 25 69 17 100 48 Financial Services $9M
SNTI
Senti Biosciences, Inc.
$0.94 0 -0.42 Neutral 44.7 38.2 25 44 50 75 47 Healthcare $23M
INCR
InterCure Ltd.
$0.82 0 -0.42 Neutral 44.7 59.0 25 44 50 75 55 Healthcare $46M
XHYF
BondBloxx USD High Yield Bond Finan
$37.00 0 -0.45 Neutral 44.4 41.3 25 38 67 50 45 Financial Services $33M
SNTG
Sentage Holdings Inc.
$1.95 0 -0.45 Neutral 44.4 45.2 25 62 58 25 46 Financial Services $6M
MLGO
MicroAlgo Inc.
$3.73 0 -0.45 Neutral 44.4 45.5 25 62 58 25 44 Technology $42M
SOUNW
SoundHound AI, Inc.
$2.52 0 -0.45 Neutral 44.4 38.3 12 38 67 75 45 Technology $1.1B
XRPI
XRP ETF
$7.76 0 -0.45 Neutral 44.4 49.0 25 62 58 25 46 Financial Services $104M
POWL
Powell Industries, Inc.
$266.80 0 -0.47 Neutral 44.1 55.0 12 56 75 25 44 Industrials $9.5B
LPAAW
Launch One Acquisition Corp.
$0.12 0 -0.47 Neutral 44.1 50.6 12 56 50 75 49 Financial Services $4M
ANVS
Annovis Bio, Inc.
$2.05 0 -0.47 Neutral 44.1 45.8 12 56 75 25 47 Healthcare $38M
GMHS
Gamehaus Holdings Inc.
$0.99 0 -0.47 Neutral 44.1 57.5 12 56 75 25 50 Technology $56M
NREF-PA
NexPoint Real Estate Finance, Inc.
$22.87 0 -0.47 Neutral 44.1 48.9 0 56 50 100 46 Real Estate $437M
ABVEW
Above Food Ingredients Inc. Warrant
$0.15 0 -0.47 Neutral 44.1 47.4 0 56 50 100 45 Consumer Defensive $9M
GLDI
UBS AG ETRACS Gold Shares Covered C
$165.52 0 -0.47 Neutral 44.1 51.1 12 56 75 25 48 Financial Services $175M
PCF
High Income Securities Fund
$5.65 0 -0.47 Neutral 44.1 44.2 25 56 50 50 49 Financial Services $104M
GLE
Global Engine Group Holding Limited
$0.39 0 -0.47 Neutral 44.1 43.1 25 56 50 50 47 Technology $9M
VHC
VirnetX Holding Corp
$13.73 0 -0.47 Neutral 44.1 43.5 12 56 50 75 52 Technology $57M
PHAT
Phathom Pharmaceuticals, Inc.
$11.39 0 -0.47 Neutral 44.1 40.3 25 31 58 75 43 Healthcare $909M
DTST
Data Storage Corporation
$4.00 0 -0.47 Neutral 44.1 47.3 25 56 50 50 46 Technology $25M
FBRT-PE
Franklin BSP Realty Trust, Inc.
$19.86 0 -0.47 Neutral 44.1 48.1 12 56 50 75 48 Real Estate $1.6B
MEDI
Harbor Health Care ETF (MEDI)
$29.71 0 -0.47 Neutral 44.1 51.1 25 56 50 50 46 Financial Services $20M
VCV
Invesco California Value Municipal
$10.54 0 -0.50 Neutral 43.8 44.2 12 50 67 50 42 Financial Services $503M
SYBX
Synlogic, Inc.
$0.60 0 -0.52 Neutral 43.5 43.3 0 69 50 75 40 Healthcare $7M
NTES
NetEase, Inc.
$113.61 0 -0.52 Neutral 43.4 47.2 25 44 58 50 46 Technology $73.1B
PRHSX
T. Rowe Price Health Sciences Fund
$79.04 0 -0.55 Neutral 43.1 50.7 25 62 67 0 49 Financial Services $11.0B
THISX
T. Rowe Price Health Sciences Fund
$79.27 0 -0.55 Neutral 43.1 50.7 25 62 67 0 49 Financial Services $11.0B
MSA
MSA Safety Incorporated
$169.52 0 -0.57 Neutral 42.8 53.0 25 56 33 75 48 Industrials $6.4B
MNY
MoneyHero Limited Class A Ordinary
$1.33 0 -0.57 Neutral 42.8 47.3 0 56 58 75 48 Communication Servic $57M
RVP
Retractable Technologies, Inc.
$0.67 0 -0.57 Neutral 42.8 40.5 25 56 58 25 49 Healthcare $20M
VZLA
Vizsla Silver Corp.
$3.42 0 -0.57 Neutral 42.8 42.8 25 56 58 25 46 Basic Materials $1.1B
ASMB
Assembly Biosciences, Inc.
$27.42 0 -0.57 Neutral 42.8 40.0 25 56 58 25 43 Healthcare $421M
UAL
United Airlines Holdings, Inc.
$92.55 0 -0.57 Neutral 42.8 48.0 25 56 58 25 46 Industrials $28.9B
YMM
Full Truck Alliance Co. Ltd.
$8.57 0 -0.57 Neutral 42.8 44.0 25 56 58 25 46 Technology $8.8B
YBIT
YieldMax Bitcoin Option Income Stra
$23.74 0 -0.57 Neutral 42.8 50.6 25 56 58 25 44 Financial Services $47M
BKKT
Bakkt Holdings, Inc.
$8.72 0 -0.57 Neutral 42.8 43.9 25 56 33 75 50 Technology $170M
JBTM
JBT Marel Corporation
$126.78 0 -0.57 Neutral 42.8 48.8 0 56 58 75 47 Industrials $6.5B
PQDI
Principal Spectrum Preferred and In
$19.36 0 -0.60 Neutral 42.5 50.5 12 50 75 25 42 Financial Services $69M
MAMO
Massimo Group Common Stock
$1.00 0 -0.62 Neutral 42.2 40.1 12 69 33 75 47 Consumer Cyclical $41M
AWRE
Aware, Inc.
$1.27 0 -0.62 Neutral 42.2 37.6 12 69 33 75 49 Technology $27M
NCNA
NuCana plc
$2.03 0 -0.62 Neutral 42.2 41.5 25 44 42 75 49 Healthcare $12M
WOK
WORK Medical Technology Group Ltd.
$0.38 0 -0.65 Neutral 41.9 46.9 25 62 50 25 43 Healthcare $1,340
FDAT
Tactical Advantage ETF
$21.75 0 -0.67 Neutral 41.6 50.1 25 56 42 50 43 Financial Services $35M
WBUY
WEBUY GLOBAL Ltd. Ordinary Shares
$1.16 0 -0.67 Neutral 41.6 40.8 25 56 42 50 44 Consumer Cyclical $1M
GROV
Grove Collaborative Holdings, Inc.
$1.20 0 -0.67 Neutral 41.6 41.1 12 56 42 75 46 Consumer Defensive $50M
OPP-PA
RiverNorth/DoubleLine Strategic Opp
$16.65 0 -0.67 Neutral 41.6 50.1 12 56 67 25 49 Financial Services $508M
TRSG
Tungray Technologies Inc Class A Or
$1.25 0 -0.67 Neutral 41.6 50.9 25 31 50 75 48 Industrials $20M
SOLZ
Volatility Shares Trust - Solana ET
$8.56 0 -0.67 Neutral 41.6 47.9 25 56 42 50 45 Financial Services $33M
MLSS
Milestone Scientific Inc.
$0.33 0 -0.67 Neutral 41.6 51.2 25 56 42 50 47 Healthcare $31M
OMEX
Odyssey Marine Exploration, Inc.
$1.05 0 -0.67 Neutral 41.6 42.8 12 56 42 75 46 Industrials $32M
COIN
Coinbase Global, Inc.
$189.44 0 -0.70 Neutral 41.2 47.7 25 50 58 25 47 Financial Services $51.0B
TOON
Kartoon Studios Inc.
$0.61 0 -0.70 Neutral 41.2 40.3 12 50 58 50 43 Communication Servic $29M
AIMD
Ainos, Inc.
$1.66 0 -0.70 Neutral 41.2 35.4 25 50 33 75 46 Healthcare $7M
MSB
Mesabi Trust
$28.49 0 -0.70 Neutral 41.2 43.0 12 50 58 50 46 Basic Materials $362M
AQST
Aquestive Therapeutics, Inc.
$4.13 0 -0.70 Neutral 41.2 45.4 25 50 58 25 48 Healthcare $406M
TAOX
TAO Synergies Inc.
$4.79 0 -0.70 Neutral 41.2 38.6 25 50 58 25 41 Healthcare $15M
EVGOW
EVgo, Inc.
$0.01 0 -0.70 Neutral 41.2 44.6 25 50 58 25 38 Consumer Cyclical $2M
FTCI
FTC Solar, Inc.
$4.35 0 -0.72 Neutral 41.0 41.9 12 69 42 50 47 Energy $69M
AUID
authID Inc.
$1.19 0 -0.72 Neutral 41.0 42.5 0 69 42 75 48 Technology $14M
YRD
Yiren Digital Ltd.
$1.99 0 -0.72 Neutral 41.0 44.2 0 69 42 75 44 Financial Services $167M
SDGR
Schrödinger, Inc.
$12.05 0 -0.72 Neutral 41.0 39.7 25 44 75 0 45 Healthcare $896M
BEPI
Brookfield BRP Holdings Canada 4.87
$15.42 0 -0.72 Neutral 41.0 43.0 25 44 75 0 46 Real Estate $6.4B
CBRL
Cracker Barrel Old Country Store, I
$29.32 0 -0.72 Neutral 41.0 43.0 25 44 50 50 47 Consumer Cyclical $645M
MOMO
Hello Group Inc.
$6.12 0 -0.72 Neutral 41.0 48.8 25 44 50 50 48 Communication Servic $1.0B
RAVE
RAVE Restaurant Group, Inc.
$2.60 0 -0.72 Neutral 41.0 54.7 12 44 75 25 46 Consumer Cyclical $39M
FXI
iShares China Large-Cap ETF
$36.16 0 -0.75 Neutral 40.6 38.1 25 62 58 0 43 Financial Services $6.0B
KIM-PM
Kimco Realty Corporation
$19.89 0 -0.75 Neutral 40.6 43.9 12 62 58 25 36 Real Estate $13.5B
HRMY
Harmony Biosciences Holdings, Inc.
$29.83 0 -0.75 Neutral 40.6 49.8 25 38 67 25 44 Healthcare $1.8B
PERF-WT
Perfect Corp.
$0.03 0 -0.75 Neutral 40.6 59.3 0 50 50 88 59 Technology $96M
ACTU
Actuate Therapeutics Inc
$2.43 0 -0.75 Neutral 40.6 46.6 25 62 58 0 42 Healthcare $57M
MLTX
MoonLake Immunotherapeutics
$16.44 0 -0.75 Neutral 40.6 39.6 12 62 58 25 43 Healthcare $1.2B
DRDBW
Roman DBDR Acquisition Corp. II
$0.20 0 -0.75 Neutral 40.6 47.5 0 62 58 50 46 Financial Services $5M
JQC
Nuveen Credit Strategies Income Fun
$4.78 0 -0.77 Neutral 40.3 48.8 12 56 50 50 46 Financial Services $710M
TDIC
Dreamland Limited Class A Ordinary
$0.71 0 -0.77 Neutral 40.3 54.1 25 56 50 25 48 Communication Servic $4M
SSYS
Stratasys Ltd.
$8.23 0 -0.77 Neutral 40.3 42.3 12 56 50 50 43 Technology $697M
PDYN
Palladyne AI Corp.
$6.18 0 -0.77 Neutral 40.3 35.4 12 56 50 50 46 Technology $231M
ITP
IT Tech Packaging, Inc.
$0.20 0 -0.77 Neutral 40.3 33.6 25 56 25 75 48 Basic Materials $3M
HAE
Haemonetics Corporation
$57.28 0 -0.77 Neutral 40.3 50.8 25 56 25 75 50 Healthcare $2.6B
FGL
Founder Group Limited Ordinary Shar
$1.85 0 -0.77 Neutral 40.3 51.3 0 56 50 75 41 Industrials $333,954
CONI
GraniteShares 2x Short COIN Daily E
$43.83 0 -0.77 Neutral 40.3 51.9 25 56 25 75 48 Financial Services $467M
RLX
RLX Technology Inc.
$2.17 0 -0.77 Neutral 40.3 44.9 25 56 25 75 49 Consumer Defensive $2.6B
EUM
ProShares - Short MSCI Emerging Mar
$16.73 0 -0.77 Neutral 40.3 49.6 12 56 25 100 46 Financial Services $9M
GNT-PA
GAMCO Natural Resources, Gold & Inc
$20.65 0 -0.77 Neutral 40.3 49.6 0 56 50 75 46 Financial Services $333M
FHLC
Fidelity MSCI Health Care Index ETF
$70.17 0 -0.77 Neutral 40.3 49.6 12 56 50 50 48 Financial Services $2.9B
TLCI
Touchstone International Equity ETF
$25.46 0 -0.77 Neutral 40.3 49.6 25 31 33 100 49 Financial Services $43M
EFZ
ProShares - Short MSCI EAFE
$11.91 0 -0.77 Neutral 40.3 51.9 12 56 25 100 48 Financial Services $8M
JGH
Nuveen Global High Income Fund
$12.57 0 -0.80 Neutral 40.0 46.2 25 50 42 50 48 Financial Services $285M
BTRN
Global X - Bitcoin Trend Strategy E
$27.34 0 -0.80 Neutral 40.0 49.5 25 50 42 50 42 Financial Services $4M
UROY
Uranium Royalty Corp.
$3.60 0 -0.80 Neutral 40.0 49.8 25 50 67 0 43 Energy $501M
APLMW
Apollomics, Inc.
$0.01 0 -0.80 Neutral 40.0 49.5 25 38 33 88 44 Healthcare $214M
MOB
Mobilicom Ltd
$5.40 0 -0.80 Neutral 40.0 53.3 12 50 67 25 42 Technology $64M
AVD
American Vanguard Corporation
$2.71 0 -0.80 Neutral 40.0 45.3 0 75 58 25 43 Basic Materials $76M
SES-WT
SES AI Corporation WT
$0.03 0 -0.80 Neutral 40.0 35.6 0 75 58 25 42 Industrials $8M
PLMKU
Plum Acquisition Corp. IV
$10.70 0 -0.80 Neutral 40.0 46.7 25 62 50 12 48 Financial Services $292M
UXRP
ProShares - Ultra XRP ETF
$3.73 0 -0.82 Neutral 39.7 45.6 12 69 50 25 45 Financial Services $40M
OPP-PB
RiverNorth/DoubleLine Strategic Opp
$18.23 0 -0.82 Neutral 39.7 53.3 12 44 58 50 48 Financial Services $556M
RCI
Rogers Communications Inc.
$35.53 0 -0.82 Neutral 39.7 48.3 0 69 75 0 46 Communication Servic $19.3B
RGTX
Daily Target 2X Long RGTI ETF
$17.57 0 -0.82 Neutral 39.7 45.6 25 44 58 25 44 Financial Services $11M
BEPH
Brookfield BRP Holdings Canada 4.62
$14.81 0 -0.82 Neutral 39.7 41.3 25 44 58 25 46 Real Estate $6.4B
RGTI
Rigetti Computing, Inc.
$16.62 0 -0.82 Neutral 39.7 34.8 25 44 58 25 45 Technology $5.3B
SUUN
PowerBank Corporation
$0.61 0 -0.82 Neutral 39.7 46.9 12 69 50 25 46 Utilities $22M
FLDDW
Fold Holdings, Inc. Warrant 2021-14
$0.12 0 -0.85 Neutral 39.4 35.5 12 38 75 25 41 Technology $4M
CETY
Clean Energy Technologies, Inc.
$0.68 0 -0.85 Neutral 39.4 34.7 0 62 42 75 40 Industrials $4M
SPCX
SPAC and New Issue ETF
$21.88 0 -0.85 Neutral 39.4 51.5 12 38 50 75 44 Financial Services $7M
GPRF
Goldman Sachs Access U.S. Preferred
$50.11 0 -0.85 Neutral 39.4 49.3 12 38 75 25 44 Financial Services $123M
FMFC
Kandal M Venture Limited
$0.40 0 -0.85 Neutral 39.4 47.2 12 62 42 50 42 Consumer Cyclical $7M
OARK
YieldMax Innovation Option Income S
$31.06 0 -0.87 Neutral 39.1 36.9 25 56 58 0 44 Financial Services $51M
DTCK
Davis Commodities Limited Ordinary
$1.01 0 -0.87 Neutral 39.1 43.6 12 56 33 75 44 Consumer Defensive $3,383
MSC
Studio City International Holdings
$2.46 0 -0.87 Neutral 39.1 40.0 0 56 58 50 47 Consumer Cyclical $114M
CONL
GraniteShares 2x Long COIN Daily ET
$7.65 0 -0.87 Neutral 39.1 45.4 25 56 58 0 45 Financial Services $291M
PMT-PC
PennyMac Mortgage Investment Trust
$18.28 0 -0.87 Neutral 39.1 41.1 25 31 67 25 48 Real Estate $1.6B
ADNT
Adient plc
$20.64 0 -0.87 Neutral 39.1 40.2 25 56 58 0 44 Consumer Cyclical $1.5B
HYFM
Hydrofarm Holdings Group, Inc.
$1.00 0 -0.87 Neutral 39.1 36.4 12 56 33 75 46 Industrials $5M

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