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Momentum Laggards

Technical score 20 or lower — weakest momentum

500 stocks match this screen
Market:
Avg Opinion
-2.46
Avg Technical
19.2
Avg Power
37.1
Avg RSI
36.4
Total Stocks
500
Symbol Price Avg Vol Opinion Label Technical Power MA Osc Trend Vol RSI Sector Mkt Cap
ASTE
Astec Industries, Inc.
$47.50 0 -2.40 Sell 20.0 35.4 25 50 0 0 32 Industrials $1.1B
GDV-PK
The Gabelli Dividend & Income Trust
$17.79 0 -2.40 Sell 20.0 34.6 0 50 25 0 36 Financial Services $1.5B
EDOG
ALPS Emerging Sector Dividend Dogs
$24.69 0 -2.40 Sell 20.0 39.3 25 50 0 0 43 Financial Services $30M
BNED
Barnes & Noble Education, Inc.
$8.93 0 -2.40 Sell 20.0 29.6 25 50 0 0 34 Consumer Cyclical $309M
THY
Toews Agility Shares Dynamic Tactic
$21.84 0 -2.40 Sell 20.0 41.5 12 50 0 25 38 Financial Services $36M
TIPZ
PIMCO Broad U.S. TIPS Index Exchang
$52.78 0 -2.40 Sell 20.0 41.5 0 50 25 0 38 Financial Services $86M
KSCP
Knightscope, Inc.
$2.78 0 -2.40 Sell 20.0 32.3 0 50 25 0 35 Industrials $22M
LILAK
Liberty Latin America Ltd.
$7.51 0 -2.40 Sell 20.0 30.0 12 50 0 25 39 Communication Servic $1.6B
CIB
Grupo Cibest S.A.
$64.02 0 -2.40 Sell 20.0 35.5 25 50 0 0 37 Financial Services $15.1B
CIK
Credit Suisse Asset Management Inco
$2.50 0 -2.40 Sell 20.0 34.6 0 50 25 0 38 Financial Services $137M
AVIG
Avantis Core Fixed Income ETF
$41.02 0 -2.40 Sell 20.0 34.0 0 50 0 50 34 Financial Services $1.8B
WEA
Western Asset Premier Bond Fund
$10.41 0 -2.40 Sell 20.0 34.6 0 50 25 0 33 Financial Services $123M
PCVX
Vaxcyte, Inc.
$48.44 0 -2.40 Sell 20.0 31.5 25 50 0 0 29 Healthcare $7.0B
POR
Portland General Electric Company
$48.29 0 -2.40 Sell 20.0 37.7 25 50 0 0 37 Utilities $5.7B
SSG
ProShares - UltraShort Semiconducto
$14.63 0 -2.40 Sell 20.0 30.3 0 50 0 50 33 Financial Services $9M
LMAT
LeMaitre Vascular, Inc.
$100.83 0 -2.40 Sell 20.0 41.1 25 50 0 0 40 Healthcare $2.3B
HE
Hawaiian Electric Industries, Inc.
$13.38 0 -2.40 Sell 20.0 33.4 25 50 0 0 32 Utilities $2.3B
BLST
Bluemonte Short Term Bond ETF
$24.95 0 -2.40 Sell 20.0 41.5 0 50 25 0 36 Financial Services $156M
JJSF
J&J Snack Foods Corp.
$73.30 0 -2.40 Sell 20.0 39.0 0 50 0 50 38 Consumer Defensive $1.4B
ALMR
Alamar Biosciences, Inc.
$20.86 0 -2.40 Sell 20.0 29.3 0 50 25 0 42 Healthcare $192M
ALHC
Alignment Healthcare, Inc.
$16.28 0 -2.40 Sell 20.0 35.0 25 50 0 0 35 Healthcare $3.4B
BXMT
Blackstone Mortgage Trust, Inc.
$18.24 0 -2.40 Sell 20.0 36.6 25 50 0 0 37 Real Estate $3.0B
BMBL
Bumble Inc.
$3.18 0 -2.40 Sell 20.0 32.4 12 50 0 25 35 Technology $368M
AWK
American Water Works Company, Inc.
$124.83 0 -2.40 Sell 20.0 36.4 0 50 25 0 38 Utilities $24.2B
IBIO
iBio, Inc.
$1.42 0 -2.40 Sell 20.0 28.5 12 50 0 25 32 Healthcare $24M
WSDB
Weitz Short Duration Bond ETF
$24.95 0 -2.40 Sell 20.0 41.5 0 50 25 0 38 $2M
SF-PD
Stifel Financial Corp.
$16.75 0 -2.40 Sell 20.0 35.7 0 50 25 0 41 Financial Services $1.7B
ACRE
Ares Commercial Real Estate Corpora
$4.64 0 -2.40 Sell 20.0 28.6 25 50 0 0 34 Real Estate $260M
LQTI
FT Vest Investment Grade & Target I
$19.23 0 -2.40 Sell 20.0 41.5 0 50 25 0 37 Financial Services $103M
WETH
Wetouch Technology Inc.
$1.59 0 -2.40 Sell 20.0 38.9 25 50 0 0 43 Real Estate $19M
VBF
Invesco Bond Fund
$14.84 0 -2.40 Sell 20.0 34.6 0 50 25 0 38 Financial Services $169M
TRDA
Entrada Therapeutics, Inc.
$5.89 0 -2.40 Sell 20.0 25.7 12 50 0 25 26 Healthcare $219M
WTW
Willis Towers Watson Public Limited
$256.86 0 -2.40 Sell 20.0 37.9 12 50 0 25 42 Financial Services $24.0B
ALNY
Alnylam Pharmaceuticals, Inc.
$286.27 0 -2.40 Sell 20.0 40.1 0 50 25 0 37 Healthcare $39.3B
SPWH
Sportsman's Warehouse Holdings, Inc
$1.27 0 -2.40 Sell 20.0 28.4 0 50 25 0 40 Consumer Cyclical $48M
GATX
GATX Corporation
$171.29 0 -2.40 Sell 20.0 36.2 25 50 0 0 31 Industrials $6.0B
VCIG
VCI Global Limited
$0.75 0 -2.42 Sell 19.7 40.4 0 69 8 0 20 Industrials $81,795
AQB
AquaBounty Technologies, Inc.
$0.90 0 -2.42 Sell 19.7 37.4 12 44 17 0 46 Consumer Defensive $4M
BRO
Brown & Brown, Inc.
$58.69 0 -2.42 Sell 19.7 38.7 12 44 17 0 44 Financial Services $19.7B
OMF
OneMain Holdings, Inc.
$53.53 0 -2.42 Sell 19.7 42.0 12 44 17 0 42 Financial Services $6.1B
FLCO
Franklin Investment Grade Corporate
$21.21 0 -2.42 Sell 19.7 41.4 0 44 17 25 39 Financial Services $587M
ETHB
iShares Staked Ethereum Trust ETF
$27.31 0 -2.42 Sell 19.7 37.6 0 44 17 25 39 Financial Services $104M
RSSS
Research Solutions, Inc.
$2.12 0 -2.42 Sell 19.7 34.1 12 44 17 0 36 Technology $71M
CGSD
Capital Group Short Duration Income
$25.77 0 -2.42 Sell 19.7 41.4 0 44 17 25 41 Financial Services $2.2B
BBH
VanEck Biotech ETF
$179.90 0 -2.42 Sell 19.7 39.1 12 44 17 0 38 Financial Services $367M
EIBRX
Eaton Vance Income Fund of Boston R
$5.19 0 -2.42 Sell 19.7 41.4 12 44 17 0 43 Financial Services $5.5B
YBMN
Defiance BMNR Option Income ETF
$13.95 0 -2.42 Sell 19.7 37.6 12 44 17 0 37 Financial Services $593,202
CG
The Carlyle Group Inc.
$46.60 0 -2.42 Sell 19.7 36.4 12 44 17 0 40 Financial Services $16.4B
ETHW
Bitwise Ethereum ETF
$15.17 0 -2.42 Sell 19.7 37.6 12 44 17 0 39 Financial Services $268M
CLRO
ClearOne, Inc.
$3.23 0 -2.42 Sell 19.7 38.1 0 69 8 0 46 Technology $5M
DAAQU
Digital Asset Acquisition Corp. Uni
$10.43 0 -2.42 Sell 19.7 37.3 12 44 17 0 45 Financial Services $241M
EETH
ProShares - Ether ETF
$26.11 0 -2.42 Sell 19.7 37.6 12 44 17 0 39 Financial Services $65M
SCHO
Schwab Short-Term U.S. Treasury ETF
$24.14 0 -2.42 Sell 19.7 33.9 12 44 17 0 42 Financial Services $12.5B
ELTX
Elicio Therapeutics, Inc.
$9.57 0 -2.42 Sell 19.7 29.4 12 44 17 0 40 Healthcare $175M
VTC
Vanguard Total Corporate Bond ETF
$76.05 0 -2.42 Sell 19.7 41.4 0 44 17 25 38 Financial Services $1.7B
PRE
Prenetics Global Limited
$14.54 0 -2.42 Sell 19.7 28.9 12 44 17 0 34 Healthcare $205M
WIT
Wipro Limited
$1.94 0 -2.42 Sell 19.7 33.2 12 44 17 0 42 Technology $20.2B
PLMR
Palomar Holdings, Inc.
$114.51 0 -2.42 Sell 19.7 37.6 12 44 17 0 44 Financial Services $3.0B
FEMY
Femasys Inc.
$0.36 0 -2.42 Sell 19.7 30.8 0 69 8 0 39 Healthcare $11M
GIGB
Goldman Sachs Access Investment Gra
$45.40 0 -2.42 Sell 19.7 33.9 0 44 17 25 38 Financial Services $903M
VKTX
Viking Therapeutics, Inc.
$28.69 0 -2.42 Sell 19.7 28.8 12 44 17 0 33 Healthcare $3.3B
MRT
Marti Technologies, Inc.
$2.01 0 -2.42 Sell 19.7 29.2 12 44 17 0 41 Technology $171M
AVXL
Anavex Life Sciences Corp.
$2.88 0 -2.42 Sell 19.7 29.5 0 69 8 0 35 Healthcare $247M
XOMAP
XOMA Corporation
$25.38 0 -2.42 Sell 19.7 45.5 12 44 17 0 45 Healthcare $305M
FDLSX
Fidelity Select Leisure Portfolio
$15.14 0 -2.42 Sell 19.7 39.1 0 69 8 0 38 Financial Services $490M
SNN
Smith & Nephew plc
$30.30 0 -2.42 Sell 19.7 35.4 12 44 17 0 44 Healthcare $13.2B
BMI
Badger Meter, Inc.
$118.96 0 -2.42 Sell 19.7 45.3 12 44 17 0 42 Technology $3.5B
MRLN
Merlin, Inc.
$6.30 0 -2.42 Sell 19.7 38.4 0 69 8 0 36 Technology $152M
LSH
Lakeside Holding Limited
$0.53 0 -2.42 Sell 19.7 26.9 0 44 17 25 40 Industrials $6M
RDNT
RadNet, Inc.
$54.17 0 -2.42 Sell 19.7 32.1 0 44 17 25 41 Healthcare $4.2B
BMNR
Bitmine Immersion Technologies, Inc
$18.73 0 -2.42 Sell 19.7 35.7 12 44 17 0 37 Financial Services $8.5B
NFLY
YieldMax NFLX Option Income Strateg
$9.77 0 -2.42 Sell 19.7 29.1 12 44 17 0 42 Financial Services $65M
SLGB
Smart Logistics Global Limited Ordi
$0.52 0 -2.42 Sell 19.7 28.5 0 44 17 25 34 Industrials $21M
RSYYX
Victory High Yield Fund - Class Y
$5.41 0 -2.42 Sell 19.7 41.4 12 44 17 0 43 Financial Services $113M
MQY
BlackRock MuniYield Quality Fund, I
$11.10 0 -2.42 Sell 19.7 36.9 12 44 17 0 36 Financial Services $794M
ALGS
Aligos Therapeutics, Inc.
$5.36 0 -2.42 Sell 19.7 27.5 0 44 17 25 35 Healthcare $32M
EXPI
eXp World Holdings, Inc.
$4.72 0 -2.42 Sell 19.7 32.7 0 69 8 0 26 Real Estate $750M
BRHYX
BlackRock High Yield K
$7.12 0 -2.42 Sell 19.7 41.4 12 44 17 0 44 Financial Services $27.1B
DYN
Dyne Therapeutics, Inc.
$16.54 0 -2.42 Sell 19.7 31.4 12 44 17 0 39 Healthcare $2.6B
CABR
Caring Brands, Inc.
$0.88 0 -2.42 Sell 19.7 30.1 0 44 17 25 40 Healthcare $14M
SSM
Sono Group N.V.
$3.92 0 -2.42 Sell 19.7 36.8 0 69 8 0 26 Consumer Cyclical $6M
ELS
Equity LifeStyle Properties, Inc.
$62.12 0 -2.42 Sell 19.7 42.1 12 44 17 0 42 Real Estate $12.2B
LPCN
Lipocine Inc.
$2.21 0 -2.42 Sell 19.7 27.5 0 69 8 0 31 Healthcare $12M
BLNE
Beeline Holdings, Inc.
$1.04 0 -2.42 Sell 19.7 27.0 0 69 8 0 20 Consumer Defensive $9M
CHA
Chagee Holdings Limited American De
$10.21 0 -2.42 Sell 19.7 36.9 12 44 17 0 45 Consumer Defensive $1.9B
BF-B
Brown-Forman Corporation
$26.25 0 -2.42 Sell 19.7 37.2 12 44 17 0 46 Consumer Defensive $12.2B
WEX
WEX Inc.
$142.60 0 -2.42 Sell 19.7 34.4 12 44 17 0 43 Technology $4.9B
JHYAX
Janus Henderson High-Yield Fund Cla
$7.41 0 -2.42 Sell 19.7 41.4 12 44 17 0 45 Financial Services $1.4B
TERG
Leverage Shares 2x Long TER Daily E
$39.04 0 -2.42 Sell 19.7 37.6 12 44 17 0 40 Financial Services $901,557
GPC
Genuine Parts Company
$93.17 0 -2.42 Sell 19.7 34.4 0 69 8 0 27 Consumer Cyclical $12.9B
DOO
BRP Inc.
$55.33 0 -2.42 Sell 19.7 45.5 0 69 8 0 42 Consumer Cyclical $4.0B
FBY
YieldMax META Option Income Strateg
$10.10 0 -2.42 Sell 19.7 30.1 0 44 17 25 43 Financial Services $100M
GUT-PC
The Gabelli Utility Trust
$22.14 0 -2.42 Sell 19.7 44.2 12 44 17 0 37 Financial Services $1.9B
SPSC
SPS Commerce, Inc.
$53.04 0 -2.42 Sell 19.7 34.8 12 44 17 0 45 Technology $1.9B
NUHY
Nuveen ESG High Yield Corporate Bon
$21.19 0 -2.42 Sell 19.7 41.4 12 44 17 0 40 Financial Services $108M
MYI
BlackRock MuniYield Quality Fund II
$10.66 0 -2.42 Sell 19.7 39.2 12 44 17 0 36 Financial Services $704M
PMNT
Perfect Moment Ltd. Common Stock
$0.23 0 -2.42 Sell 19.7 33.4 0 44 17 25 43 Consumer Cyclical $8M
SLQD
iShares 0-5 Year Investment Grade C
$50.24 0 -2.42 Sell 19.7 41.4 12 44 17 0 42 Financial Services $2.3B
CRSH
YieldMax Short TSLA Option Income S
$21.68 0 -2.42 Sell 19.7 39.1 12 44 17 0 39 Financial Services $19M
ETHA
iShares Ethereum Trust ETF
$16.00 0 -2.42 Sell 19.7 30.1 12 44 17 0 39 Financial Services $9.7B
BCTXZ
BriaCell Therapeutics Corp. Warrant
$0.08 0 -2.42 Sell 19.7 32.7 0 44 17 25 36 Healthcare $150,699
ITHAW
ITHAX Acquisition Corp III Warrants
$0.19 0 -2.42 Sell 19.7 37.6 0 44 17 25 40 Financial Services $4M
GXIG
Global X - Investment Grade Corpora
$24.70 0 -2.42 Sell 19.7 41.4 0 44 17 25 37 Financial Services $174M
AMBR
Amber International Holding Ltd
$1.77 0 -2.42 Sell 19.7 39.3 0 69 8 0 30 Real Estate $171M
NUWE
Nuwellis, Inc.
$0.98 0 -2.42 Sell 19.7 30.1 0 69 8 0 31 Healthcare $882,626
BURL
Burlington Stores, Inc.
$290.38 0 -2.42 Sell 19.7 35.8 12 44 17 0 34 Consumer Cyclical $18.0B
WSHNX
Weitz Short Duration Income Fund In
$11.96 0 -2.42 Sell 19.7 43.0 12 44 17 0 39 Financial Services $1.5B
RFI
Cohen & Steers Total Return Realty
$11.21 0 -2.42 Sell 19.7 33.3 12 44 17 0 41 Financial Services $298M
AETH
Bitwise Trendwise Ether and Treasur
$32.49 0 -2.42 Sell 19.7 37.6 0 69 8 0 35 Financial Services $5M
VIA
Via Transportation, Inc.
$14.91 0 -2.42 Sell 19.7 32.0 12 44 17 0 45 Technology $1.1B
EMLC
VanEck J.P. Morgan EM Local Currenc
$25.26 0 -2.42 Sell 19.7 33.9 12 44 17 0 42 Financial Services $4.9B
AEM
Agnico Eagle Mines Limited
$179.21 0 -2.42 Sell 19.7 42.1 12 44 17 0 36 Basic Materials $86.9B
FMSTW
Foremost Clean Energy Ltd.
$0.63 0 -2.42 Sell 19.7 33.7 12 44 17 0 40 Basic Materials $9M
MNYWW
MoneyHero Limited Warrants
$0.05 0 -2.42 Sell 19.7 28.5 0 44 17 25 43 Communication Servic $2M
ABR-PE
Arbor Realty Trust, Inc.
$16.63 0 -2.42 Sell 19.7 36.9 0 44 17 25 43 Real Estate $3.2B
MCD
McDonald's Corporation
$282.47 0 -2.42 Sell 19.7 41.8 12 44 17 0 40 Consumer Cyclical $199.5B
EVF
Eaton Vance Senior Income Trust
$4.95 0 -2.42 Sell 19.7 33.3 0 44 17 25 43 Financial Services $90M
BLIV
BeLive Holdings
$2.21 0 -2.42 Sell 19.7 37.6 0 44 17 25 39 Technology $28M
TSCO
Tractor Supply Company
$31.72 0 -2.42 Sell 19.7 38.3 12 44 17 0 30 Consumer Cyclical $16.3B
SCLX
Scilex Holding Company
$5.98 0 -2.42 Sell 19.7 26.7 12 44 17 0 37 Healthcare $51M
SGA
Saga Communications, Inc.
$10.05 0 -2.42 Sell 19.7 29.0 0 69 8 0 29 Communication Servic $64M
CMND
Clearmind Medicine Inc.
$0.38 0 -2.42 Sell 19.7 24.5 0 69 8 0 32 Healthcare $32,293
VTEX
Vtex
$3.50 0 -2.42 Sell 19.7 37.0 0 69 8 0 40 Technology $625M
JG
Aurora Mobile Limited
$5.91 0 -2.42 Sell 19.7 42.9 0 69 8 0 32 Technology $36M
KGRN
KraneShares MSCI China Clean Techno
$27.87 0 -2.42 Sell 19.7 39.1 12 44 17 0 41 Financial Services $60M
PICB
Invesco International Corporate Bon
$23.26 0 -2.42 Sell 19.7 41.4 12 44 17 0 44 Financial Services $349M
RNTX
Rein Therapeutics Inc.
$1.04 0 -2.42 Sell 19.7 27.4 12 44 17 0 37 Healthcare $28M
ONEG
OneConstruction Group Limited
$0.87 0 -2.42 Sell 19.7 27.5 12 44 17 0 35 Industrials $12M
RF-PE
Regions Financial Corporation
$16.41 0 -2.42 Sell 19.7 36.7 0 69 8 0 30 Financial Services $14.4B
IMCC
IM Cannabis Corp.
$0.23 0 -2.42 Sell 19.7 36.2 0 69 8 0 27 Healthcare $688,981
TAP-A
Molson Coors Beverage Company
$41.41 0 -2.45 Sell 19.4 39.2 0 62 0 25 15 Consumer Defensive $8.1B
RVPH
Reviva Pharmaceuticals Holdings, In
$0.40 0 -2.45 Sell 19.4 25.1 12 62 0 0 27 Healthcare $1M
A
Agilent Technologies, Inc.
$112.11 0 -2.45 Sell 19.4 38.9 12 38 8 25 44 Healthcare $31.2B
TRGS
TRG Latin America Acquisitions Corp
$9.87 0 -2.45 Sell 19.4 37.5 0 38 33 0 42 Financial Services $206M
FDP
Fresh Del Monte Produce Inc.
$32.72 0 -2.45 Sell 19.4 33.1 12 62 0 0 19 Consumer Defensive $1.5B
STRS
Stratus Properties Inc.
$29.31 0 -2.45 Sell 19.4 36.6 25 38 8 0 42 Real Estate $231M
LOLDX
Lord Abbett Short Duration Income F
$3.85 0 -2.45 Sell 19.4 41.3 0 38 33 0 43 Financial Services $42.9B
TRIP
Tripadvisor, Inc.
$9.53 0 -2.45 Sell 19.4 32.9 12 62 0 0 34 Communication Servic $1.1B
LX
LexinFintech Holdings Ltd.
$1.97 0 -2.45 Sell 19.4 34.2 0 62 0 25 37 Financial Services $327M
HAO
Haoxi Health Technology Limited
$0.02 0 -2.45 Sell 19.4 34.6 0 62 0 25 14 Communication Servic $105,042
BAERW
Bridger Aerospace Group Holdings, I
$0.29 0 -2.45 Sell 19.4 26.5 25 38 8 0 45 Industrials $15M
KT
KT Corporation
$19.16 0 -2.45 Sell 19.4 34.5 12 62 0 0 23 Communication Servic $9.1B
WSBK
Winchester Bancorp, Inc. Common Sto
$12.70 0 -2.45 Sell 19.4 37.6 25 38 8 0 43 Financial Services $113M
CCLD
CareCloud, Inc.
$2.12 0 -2.45 Sell 19.4 32.0 12 62 0 0 28 Healthcare $93M
PAX
Patria Investments Limited
$11.15 0 -2.45 Sell 19.4 36.8 12 62 0 0 35 Financial Services $1.7B
BIMBX
BlackRock Systematic Multi-Strategy
$10.26 0 -2.45 Sell 19.4 41.3 12 62 0 0 30 Financial Services $8.3B
ENGNW
enGene Holdings Inc. Warrants
$0.21 0 -2.45 Sell 19.4 26.0 0 62 0 25 28 Healthcare $12M
CURV
Torrid Holdings Inc.
$1.34 0 -2.45 Sell 19.4 26.6 12 62 0 0 32 Consumer Cyclical $130M
CRXP
Columbia Core Plus Bond ETF
$19.73 0 -2.45 Sell 19.4 41.3 0 50 17 12 33 Financial Services $197M
PRWBX
T. Rowe Price Short Term Bond Fund
$4.61 0 -2.45 Sell 19.4 41.3 0 38 33 0 44 Financial Services $5.1B
UMNOX
Lazard US Short Duration Fixed Inco
$9.57 0 -2.45 Sell 19.4 41.3 0 38 33 0 44 Financial Services $33M
HFSP
TradersAI Large Cap Equity & Cash E
$14.29 0 -2.45 Sell 19.4 41.3 0 62 0 25 41 Financial Services $714,775
CHYM
Chime Financial, Inc. Class A Commo
$17.55 0 -2.45 Sell 19.4 38.7 12 62 0 0 34 Financial Services $6.4B
UPAL
ProShares Ultra Palladium K-1 Free
$31.83 0 -2.45 Sell 19.4 37.5 0 50 17 12 32 Financial Services $4M
NWN
Northwest Natural Holding Company
$49.55 0 -2.45 Sell 19.4 37.0 25 38 8 0 39 Utilities $2.1B
REAL
The RealReal, Inc.
$9.46 0 -2.45 Sell 19.4 36.9 12 62 0 0 39 Consumer Cyclical $2.6B
STWD
Starwood Property Trust, Inc.
$17.01 0 -2.45 Sell 19.4 36.0 12 62 0 0 34 Real Estate $6.2B
RGNT
Regentis Biomaterials Ltd.
$1.93 0 -2.45 Sell 19.4 37.5 0 62 0 25 21 Healthcare $7M
FE
FirstEnergy Corp.
$44.32 0 -2.45 Sell 19.4 35.8 12 62 0 0 31 Utilities $26.1B
TIPD
Northern Trust 2055 Inflation-Linke
$99.37 0 -2.45 Sell 19.4 41.3 0 50 17 12 37 Financial Services $2M
OXSQ
Oxford Square Capital Corp.
$1.53 0 -2.45 Sell 19.4 23.1 12 62 0 0 22 Financial Services $122M
LYEL
Lyell Immunopharma, Inc.
$16.51 0 -2.45 Sell 19.4 25.8 12 62 0 0 27 Healthcare $376M
MESHW
Meshflow Acquisition Corp. Warrants
$0.26 0 -2.45 Sell 19.4 37.5 0 38 33 0 34 Financial Services $9M
AYTU
Aytu BioPharma, Inc.
$2.10 0 -2.45 Sell 19.4 29.0 12 62 0 0 25 Healthcare $17M
CCS
Century Communities, Inc.
$49.14 0 -2.45 Sell 19.4 30.4 0 62 0 25 31 Consumer Cyclical $1.4B
NBBK
NB Bancorp, Inc. Common Stock
$19.47 0 -2.45 Sell 19.4 35.4 12 38 8 25 39 Financial Services $810M
CZNC
Citizens & Northern Corporation
$20.61 0 -2.45 Sell 19.4 34.4 12 62 0 0 34 Financial Services $367M
ASDVX
Short Duration Strategic Income Fun
$8.98 0 -2.45 Sell 19.4 42.9 0 38 33 0 43 Financial Services $882M
EQH-PA
Equitable Holdings, Inc.
$19.67 0 -2.45 Sell 19.4 34.3 0 38 33 0 40 Financial Services $5.6B
FBLG
FibroBiologics, Inc. Common Stock
$1.09 0 -2.45 Sell 19.4 24.5 25 38 8 0 38 Healthcare $2M
SLXN
Silexion Therapeutics Ltd.
$0.27 0 -2.45 Sell 19.4 27.8 0 62 0 25 18 Healthcare $150,899
LGPS
LogProstyle Inc.
$0.67 0 -2.45 Sell 19.4 38.1 0 38 33 0 44 Real Estate $15M
VITL
Vital Farms, Inc.
$8.28 0 -2.45 Sell 19.4 36.4 0 62 0 25 26 Consumer Defensive $393M
MWA
Mueller Water Products, Inc.
$25.72 0 -2.45 Sell 19.4 37.0 12 62 0 0 36 Industrials $3.9B
RITM
Rithm Capital Corp.
$9.13 0 -2.45 Sell 19.4 30.2 12 62 0 0 33 Real Estate $5.0B
PPL
PPL Corporation
$34.93 0 -2.45 Sell 19.4 33.9 12 62 0 0 27 Utilities $26.5B
BKE
The Buckle, Inc.
$48.08 0 -2.45 Sell 19.4 33.0 12 62 0 0 34 Consumer Cyclical $2.5B
OSIS
OSI Systems, Inc.
$207.77 0 -2.45 Sell 19.4 37.3 12 62 0 0 23 Technology $3.4B
GPCR
Structure Therapeutics Inc.
$36.11 0 -2.45 Sell 19.4 32.3 12 62 0 0 27 Healthcare $2.1B
FTHM
Fathom Holdings Inc.
$0.62 0 -2.45 Sell 19.4 32.6 12 62 0 0 29 Real Estate $21M
THCH
TH International Limited
$1.90 0 -2.45 Sell 19.4 37.3 0 38 8 50 43 Consumer Cyclical $62M
ACM
Aecom
$71.49 0 -2.45 Sell 19.4 36.9 0 62 0 25 27 Industrials $9.1B
LUXE
LuxExperience B.V.
$7.79 0 -2.45 Sell 19.4 27.0 12 62 0 0 36 Consumer Cyclical $666M
CGC
Canopy Growth Corporation
$0.98 0 -2.45 Sell 19.4 26.7 12 62 0 0 38 Healthcare $421M
INDP
Indaptus Therapeutics, Inc.
$1.52 0 -2.45 Sell 19.4 26.7 12 62 0 0 30 Healthcare $2M
ZEPP
Zepp Health Corporation
$10.67 0 -2.45 Sell 19.4 30.6 12 62 0 0 36 Technology $132M
CION
CION Investment Corporation
$6.65 0 -2.45 Sell 19.4 27.8 12 62 0 0 33 Financial Services $329M
ARHS
Arhaus, Inc.
$5.87 0 -2.45 Sell 19.4 33.0 12 62 0 0 33 Consumer Cyclical $818M
FPI
Farmland Partners Inc.
$10.39 0 -2.45 Sell 19.4 34.2 12 62 0 0 34 Real Estate $444M
CAL
Caleres, Inc.
$10.97 0 -2.45 Sell 19.4 29.8 12 62 0 0 36 Consumer Cyclical $373M
SWAGX
Schwab U.S. Aggregate Bond Index Fu
$8.84 0 -2.47 Sell 19.1 41.1 0 56 17 0 35 Financial Services $5.9B
JMUTX
Janus Henderson Multi-Sector Income
$8.61 0 -2.47 Sell 19.1 41.1 0 56 17 0 38 Financial Services $7.1B
FADLX
Frost Low Duration Bond Fund Invest
$9.85 0 -2.47 Sell 19.1 41.7 0 56 17 0 37 Financial Services $232M
RCL
Royal Caribbean Cruises Ltd.
$252.59 0 -2.47 Sell 19.1 41.5 0 56 17 0 41 Consumer Cyclical $66.3B
PTTAX
PIMCO Total Return A
$8.63 0 -2.47 Sell 19.1 41.1 0 56 17 0 34 Financial Services $46.7B
MPFDX
Morgan Stanley Insti Fd Tr Investme
$10.48 0 -2.47 Sell 19.1 41.1 0 56 17 0 39 Financial Services $156M
SDICX
Guggenheim Core Bond Fund Class C
$16.10 0 -2.47 Sell 19.1 41.1 0 56 17 0 35 Financial Services $2.8B
PTTFX
T. Rowe Price Total Return Fund - I
$8.24 0 -2.47 Sell 19.1 41.1 0 56 17 0 35 Financial Services $625M
PONPX
PIMCO Income Fund
$10.70 0 -2.47 Sell 19.1 41.1 0 56 17 0 36 Financial Services $225.8B
PTTRX
PIMCO Total Return Fund Institution
$8.63 0 -2.47 Sell 19.1 41.1 0 56 17 0 34 Financial Services $46.7B

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