SP500 RANKINGS


Portfolio Success Rate Relative Strength Index Previous Day
  1. GWW, W.W. Grainger Inc., MC: 44.45B, Chance: 80%
  2. WMT, Walmart Inc., MC: 444.89B, 200DMA: 4.96%, Flow: 79.43, AvgDirect: 0
  3. WRB, W. R. Berkley Corporation, MC: 21.01B, VolumeAvg: 109%
  4. AMD, Advanced Micro Devices Inc., MC: 270.90B, Flow: 84.30
  5. IBM, International Business Machines Corporation, MC: 167.70B, RSI: 89.24
  6. PARA, Paramount Global, MC: 9.75B, Premkt: 15.13%, AfterHr: 1.92%
  7. VLO, Valero Energy Corporation, MC: 47.29B, Chance: 65%, PE: 4.74
  8. META, Meta Platforms Inc., MC: 1002.61B, Range: 95%, Change1D: -2.48%, Change1W: -0.14%
  9. FI, Fiserv Inc., MC: 85.15B, HrChance: 85%
  10. DXCM, DexCom Inc., MC: 46.89B, 50DMA: 0.24%, AroonDown: 100
  11. NVDA, NVIDIA Corporation, MC: 1519.72B, Change1M: 27.73%
  12. EW, Edwards Lifesciences Corporation, MC: 47.59B, ChangeDay: 6.18%
  13. GM, General Motors Company, MC: 53.14B, Change1W: 11.82%
  14. BLDR, Builders FirstSource Inc., MC: 21.43B, Change3M: 60.52%
  15. ANET, Arista Networks Inc., MC: 80.48B, Change6M: 66.79%
  16. PANW, Palo Alto Networks Inc., MC: 106.73B, Change1Y: 113.38%
  17. PTC, PTC Inc., MC: 21.58B, AroonUp: 100
  18. WAB, Westinghouse Air Brake Technologies Corporation, MC: 23.57B, Band: HIGH
  19. DIS, The Walt Disney Company, MC: 176.18B, Lag: 100%
  20. BSX, Boston Scientific Corporation, MC: 92.67B, Strong Buy, Auditors: 22
  1. GWW, W.W. Grainger Inc., MC: 44.45B, Chance: 80%
  2. WRB, W. R. Berkley Corporation, MC: 21.01B, Chance: 80%
  3. WMT, Walmart Inc., MC: 444.89B, Chance: 80%
  4. META, Meta Platforms Inc., MC: 1002.61B, Chance: 80%
  5. FI, Fiserv Inc., MC: 85.15B, Chance: 80%
  6. AMD, Advanced Micro Devices Inc., MC: 270.90B, Chance: 75%
  7. ALL, The Allstate Corporation, MC: 40.63B, Chance: 75%
  8. PTC, PTC Inc., MC: 21.58B, Chance: 75%
  9. WAB, Westinghouse Air Brake Technologies Corporation, MC: 23.57B, Chance: 75%
  10. DVA, DaVita Inc., MC: 9.88B, Chance: 75%
  11. DIS, The Walt Disney Company, MC: 176.18B, Chance: 75%
  12. BK, The Bank of New York Mellon Corporation, MC: 42.11B, Chance: 75%
  13. BSX, Boston Scientific Corporation, MC: 92.67B, Chance: 75%
  14. MSFT, Microsoft Corporation, MC: 2954.92B, Chance: 75%
  15. NVDA, NVIDIA Corporation, MC: 1519.72B, Chance: 75%
  16. ROP, Roper Technologies Inc., MC: 57.36B, Chance: 70%
  17. AJG, Arthur J. Gallagher & Co., MC: 50.12B, Chance: 70%
  18. ACN, Accenture plc, MC: 228.15B, Chance: 70%
  19. PANW, Palo Alto Networks Inc., MC: 106.73B, Chance: 70%
  20. IBM, International Business Machines Corporation, MC: 167.70B, Chance: 70%
  1. IBM, International Business Machines Corporation, MC: 167.70B, RSI: 89.24
  2. MSFT, Microsoft Corporation, MC: 2954.92B, RSI: 85.55
  3. NVDA, NVIDIA Corporation, MC: 1519.72B, RSI: 84.41
  4. NFLX, Netflix Inc., MC: 246.90B, RSI: 84.40
  5. JNPR, Juniper Networks Inc., MC: 11.84B, RSI: 83.01
  6. HLT, Hilton Worldwide Holdings Inc., MC: 48.97B, RSI: 82.82
  7. PGR, The Progressive Corporation, MC: 104.33B, RSI: 82.48
  8. FI, Fiserv Inc., MC: 85.15B, RSI: 82.31
  9. RSG, Republic Services Inc., MC: 53.84B, RSI: 82.25
  10. AXP, American Express Company, MC: 146.29B, RSI: 81.78
  11. GOOG, Alphabet Inc., MC: 1766.50B, RSI: 80.42
  12. GWW, W.W. Grainger Inc., MC: 44.45B, RSI: 80.36
  13. GOOGL, Alphabet Inc., MC: 1760.44B, RSI: 80.24
  14. URI, United Rentals Inc., MC: 42.02B, RSI: 80.21
  15. HIG, The Hartford Financial Services Group Inc., MC: 26.15B, RSI: 80.05
  16. FOXA, Fox Corporation, MC: 15.10B, RSI: 79.80
  17. WRB, W. R. Berkley Corporation, MC: 21.01B, RSI: 79.38
  18. ACN, Accenture plc, MC: 228.15B, RSI: 79.01
  19. FTNT, Fortinet Inc., MC: 49.52B, RSI: 78.91
  20. WM, Waste Management Inc., MC: 74.77B, RSI: 78.86
  1. PARA, Paramount Global, MC: 9.75B, ChangeDay: 6.65%
  2. EW, Edwards Lifesciences Corporation, MC: 47.59B, ChangeDay: 6.18%
  3. SYK, Stryker Corporation, MC: 127.46B, ChangeDay: 5.95%
  4. COR, Cencora, MC: 46.42B, ChangeDay: 5.51%
  5. BA, The Boeing Company, MC: 127.67B, ChangeDay: 5.29%
  6. FTV, Fortive Corporation, MC: 27.48B, ChangeDay: 4.66%
  7. ADP, Automatic Data Processing Inc., MC: 101.09B, ChangeDay: 3.01%
  8. BSX, Boston Scientific Corporation, MC: 92.67B, ChangeDay: 3.00%
  9. ZBH, Zimmer Biomet Holdings Inc., MC: 26.22B, ChangeDay: 2.64%
  10. ACGL, Arch Capital Group Ltd., MC: 30.76B, ChangeDay: 2.30%
  11. MCK, McKesson Corporation, MC: 66.52B, ChangeDay: 2.01%
  12. CAH, Cardinal Health Inc., MC: 26.91B, ChangeDay: 1.99%
  13. QCOM, QUALCOMM Incorporated, MC: 165.86B, ChangeDay: 1.73%
  14. MTCH, Match Group Inc., MC: 10.43B, ChangeDay: 1.72%
  15. GM, General Motors Company, MC: 53.14B, ChangeDay: 1.70%
  16. UNH, UnitedHealth Group Incorporated, MC: 473.32B, ChangeDay: 1.61%
  17. EQR, Equity Residential, MC: 22.86B, ChangeDay: 1.50%
  18. EG, Everest Group Ltd., MC: 16.70B, ChangeDay: 1.38%
  19. PSX, Phillips 66, MC: 63.49B, ChangeDay: 1.33%
  20. BDX, Becton Dickinson and Company, MC: 69.15B, ChangeDay: 1.10%

Percent Change 1 Week Percent Change 1 Month Percent Change 3 Months Percent Change 6 Months
  1. GM, General Motors Company, MC: 53.14B, Change1W: 11.82%
  2. RMD, ResMed Inc., MC: 27.98B, Change1W: 11.12%
  3. HCA, HCA Healthcare Inc., MC: 81.61B, Change1W: 9.31%
  4. PARA, Paramount Global, MC: 9.75B, Change1W: 9.21%
  5. SYK, Stryker Corporation, MC: 127.46B, Change1W: 9.01%
  6. MHK, Mohawk Industries Inc., MC: 6.64B, Change1W: 8.54%
  7. URI, United Rentals Inc., MC: 42.02B, Change1W: 8.41%
  8. NUE, Nucor Corporation, MC: 45.95B, Change1W: 8.28%
  9. WST, West Pharmaceutical Services Inc., MC: 27.60B, Change1W: 8.20%
  10. EW, Edwards Lifesciences Corporation, MC: 47.59B, Change1W: 8.18%
  11. AXP, American Express Company, MC: 146.29B, Change1W: 8.03%
  12. PSX, Phillips 66, MC: 63.49B, Change1W: 7.96%
  13. SYY, Sysco Corporation, MC: 40.82B, Change1W: 7.92%
  14. COR, Cencora, MC: 46.42B, Change1W: 7.04%
  15. MSCI, MSCI Inc., MC: 47.35B, Change1W: 7.04%
  16. GLW, Corning Incorporated, MC: 27.72B, Change1W: 6.98%
  17. MPC, Marathon Petroleum Corporation, MC: 62.88B, Change1W: 6.77%
  18. VLO, Valero Energy Corporation, MC: 47.29B, Change1W: 6.72%
  19. CMCSA, Comcast Corporation, MC: 186.89B, Change1W: 6.26%
  20. F, Ford Motor Company, MC: 46.08B, Change1W: 6.26%
  1. NVDA, NVIDIA Corporation, MC: 1519.72B, Change1M: 27.73%
  2. JNPR, Juniper Networks Inc., MC: 11.84B, Change1M: 25.97%
  3. AMD, Advanced Micro Devices Inc., MC: 270.90B, Change1M: 21.01%
  4. NFLX, Netflix Inc., MC: 246.90B, Change1M: 20.41%
  5. PANW, Palo Alto Networks Inc., MC: 106.73B, Change1M: 17.16%
  6. CTLT, Catalent Inc., MC: 9.33B, Change1M: 14.63%
  7. ISRG, Intuitive Surgical Inc., MC: 133.16B, Change1M: 14.27%
  8. WRB, W. R. Berkley Corporation, MC: 21.01B, Change1M: 13.81%
  9. IBM, International Business Machines Corporation, MC: 167.70B, Change1M: 13.72%
  10. SYK, Stryker Corporation, MC: 127.46B, Change1M: 13.25%
  11. META, Meta Platforms Inc., MC: 1002.61B, Change1M: 12.66%
  12. WDC, Western Digital Corporation, MC: 18.56B, Change1M: 12.56%
  13. UBER, Uber Technologies Inc., MC: 134.32B, Change1M: 11.80%
  14. ANET, Arista Networks Inc., MC: 80.48B, Change1M: 11.71%
  15. FTNT, Fortinet Inc., MC: 49.52B, Change1M: 11.61%
  16. COR, Cencora, MC: 46.42B, Change1M: 11.58%
  17. NOW, ServiceNow Inc., MC: 156.91B, Change1M: 11.33%
  18. RMD, ResMed Inc., MC: 27.98B, Change1M: 11.12%
  19. HCA, HCA Healthcare Inc., MC: 81.61B, Change1M: 10.74%
  20. PGR, The Progressive Corporation, MC: 104.33B, Change1M: 10.49%
  1. AMD, Advanced Micro Devices Inc., MC: 270.90B, Change3M: 70.24%
  2. BLDR, Builders FirstSource Inc., MC: 21.43B, Change3M: 60.52%
  3. EXPE, Expedia Group Inc., MC: 20.60B, Change3M: 55.66%
  4. URI, United Rentals Inc., MC: 42.02B, Change3M: 53.94%
  5. NVDA, NVIDIA Corporation, MC: 1519.72B, Change3M: 50.88%
  6. UBER, Uber Technologies Inc., MC: 134.32B, Change3M: 50.81%
  7. RCL, Royal Caribbean Cruises Ltd., MC: 32.67B, Change3M: 50.48%
  8. CTLT, Catalent Inc., MC: 9.33B, Change3M: 50.16%
  9. BBWI, Bath & Body Works Inc., MC: 9.64B, Change3M: 45.13%
  10. ALGN, Align Technology Inc., MC: 20.47B, Change3M: 44.82%
  11. CCL, Carnival Corporation & plc, MC: 19.17B, Change3M: 44.68%
  12. FITB, Fifth Third Bancorp, MC: 23.32B, Change3M: 44.41%
  13. ISRG, Intuitive Surgical Inc., MC: 133.16B, Change3M: 44.24%
  14. EFX, Equifax Inc., MC: 30.11B, Change3M: 44.09%
  15. PODD, Insulet Corporation, MC: 13.33B, Change3M: 43.98%
  16. GEN, Gen Digital Inc., MC: 15.04B, Change3M: 43.96%
  17. CFG, Citizens Financial Group Inc., MC: 15.25B, Change3M: 43.26%
  18. KEY, KeyCorp, MC: 13.60B, Change3M: 43.25%
  19. WDC, Western Digital Corporation, MC: 18.56B, Change3M: 42.59%
  20. TPR, Tapestry Inc., MC: 8.89B, Change3M: 42.36%
  1. ANET, Arista Networks Inc., MC: 80.48B, Change6M: 66.79%
  2. AMD, Advanced Micro Devices Inc., MC: 270.90B, Change6M: 46.58%
  3. FICO, Fair Isaac Corporation, MC: 29.79B, Change6M: 43.06%
  4. NRG, NRG Energy Inc., MC: 11.97B, Change6M: 42.22%
  5. LLY, Eli Lilly and Company, MC: 612.88B, Change6M: 42.03%
  6. PGR, The Progressive Corporation, MC: 104.33B, Change6M: 41.76%
  7. ALL, The Allstate Corporation, MC: 40.63B, Change6M: 38.88%
  8. STX, Seagate Technology Holdings plc, MC: 17.99B, Change6M: 37.01%
  9. PANW, Palo Alto Networks Inc., MC: 106.73B, Change6M: 35.43%
  10. URI, United Rentals Inc., MC: 42.02B, Change6M: 34.59%
  11. WDC, Western Digital Corporation, MC: 18.56B, Change6M: 34.52%
  12. AMGN, Amgen Inc., MC: 168.19B, Change6M: 34.21%
  13. AXON, Axon Enterprise Inc., MC: 18.66B, Change6M: 33.95%
  14. WRB, W. R. Berkley Corporation, MC: 21.01B, Change6M: 33.10%
  15. JNPR, Juniper Networks Inc., MC: 11.84B, Change6M: 32.95%
  16. UBER, Uber Technologies Inc., MC: 134.32B, Change6M: 31.97%
  17. NVDA, NVIDIA Corporation, MC: 1519.72B, Change6M: 31.67%
  18. IT, Gartner Inc., MC: 36.05B, Change6M: 31.66%
  19. AVGO, Broadcom Inc., MC: 552.41B, Change6M: 31.31%
  20. NOW, ServiceNow Inc., MC: 156.91B, Change6M: 31.29%

Buyer Volume Expert Opinion Median Price Average Price
  1. AMD, Advanced Micro Devices Inc., MC: 270.90B, Flow: 84.30
  2. META, Meta Platforms Inc., MC: 1002.61B, Flow: 83.58
  3. ROP, Roper Technologies Inc., MC: 57.36B, Flow: 80.76
  4. NFLX, Netflix Inc., MC: 246.90B, Flow: 79.92
  5. WMT, Walmart Inc., MC: 444.89B, Flow: 79.43
  6. PGR, The Progressive Corporation, MC: 104.33B, Flow: 78.08
  7. WAB, Westinghouse Air Brake Technologies Corporation, MC: 23.57B, Flow: 77.84
  8. TJX, The TJX Companies Inc., MC: 108.17B, Flow: 77.69
  9. JNPR, Juniper Networks Inc., MC: 11.84B, Flow: 77.52
  10. MRNA, Moderna Inc., MC: 38.53B, Flow: 77.17
  11. CB, Chubb Limited, MC: 99.96B, Flow: 77.13
  12. MSFT, Microsoft Corporation, MC: 2954.92B, Flow: 77.02
  13. BK, The Bank of New York Mellon Corporation, MC: 42.11B, Flow: 76.67
  14. CTLT, Catalent Inc., MC: 9.33B, Flow: 76.58
  15. MRK, Merck & Co. Inc., MC: 306.06B, Flow: 75.92
  16. MAR, Marriott International Inc., MC: 70.41B, Flow: 75.87
  17. AMGN, Amgen Inc., MC: 168.19B, Flow: 75.83
  18. BSX, Boston Scientific Corporation, MC: 92.67B, Flow: 75.69
  19. FI, Fiserv Inc., MC: 85.15B, Flow: 75.66
  20. HAL, Halliburton Company, MC: 31.91B, Flow: 75.28
  1. META, Meta Platforms Inc., MC: 1002.61B, Strong Buy, Auditors: 48
  2. AMD, Advanced Micro Devices Inc., MC: 270.90B, Strong Buy, Auditors: 29
  3. BSX, Boston Scientific Corporation, MC: 92.67B, Strong Buy, Auditors: 22
  4. MSFT, Microsoft Corporation, MC: 2954.92B, Strong Buy, Auditors: 41
  5. NVDA, NVIDIA Corporation, MC: 1519.72B, Strong Buy, Auditors: 43
  6. ANET, Arista Networks Inc., MC: 80.48B, Strong Buy, Auditors: 20
  7. HAL, Halliburton Company, MC: 31.91B, Strong Buy, Auditors: 16
  8. NOW, ServiceNow Inc., MC: 156.91B, Strong Buy, Auditors: 34
  9. ELV, Elevance Health Inc., MC: 115.94B, Strong Buy, Auditors: 13
  10. MRK, Merck & Co. Inc., MC: 306.06B, Strong Buy, Auditors: 19
  11. CVS, CVS Health Corporation, MC: 95.71B, Strong Buy, Auditors: 23
  12. WYNN, Wynn Resorts Limited, MC: 10.67B, Strong Buy, Auditors: 9
  13. CDNS, Cadence Design Systems Inc., MC: 78.48B, Strong Buy, Auditors: 9
  14. AMZN, Amazon.com Inc., MC: 1603.84B, Strong Buy, Auditors: 43
  15. VMC, Vulcan Materials Company, MC: 30.03B, Strong Buy, Auditors: 17
  16. MLM, Martin Marietta Materials Inc., MC: 31.42B, Strong Buy, Auditors: 15
  17. MDLZ, Mondelez International Inc., MC: 102.43B, Strong Buy, Auditors: 20
  18. EG, Everest Group Ltd., MC: 16.70B, Strong Buy, Auditors: 6
  19. TJX, The TJX Companies Inc., MC: 108.17B, Strong Buy, Auditors: 16
  20. ROL, Rollins Inc., MC: 20.96B, Strong Buy, Auditors: 7
  1. GWW, W.W. Grainger Inc., MC: 44.45B, Range: 95%, Change1D: -2.09%, Change1W: 2.80%
  2. WMT, Walmart Inc., MC: 444.89B, Range: 95%, Change1D: -0.21%, Change1W: 2.96%
  3. META, Meta Platforms Inc., MC: 1002.61B, Range: 95%, Change1D: -2.48%, Change1W: -0.14%
  4. FI, Fiserv Inc., MC: 85.15B, Range: 95%, Change1D: -1.51%, Change1W: 1.65%
  5. PTC, PTC Inc., MC: 21.58B, Range: 95%, Change1D: -1.85%, Change1W: 1.88%
  6. WAB, Westinghouse Air Brake Technologies Corporation, MC: 23.57B, Range: 95%, Change1D: -0.84%, Change1W: 1.74%
  7. DIS, The Walt Disney Company, MC: 176.18B, Range: 95%, Change1D: -0.92%, Change1W: 2.73%
  8. BK, The Bank of New York Mellon Corporation, MC: 42.11B, Range: 95%, Change1D: -1.03%, Change1W: 2.24%
  9. BSX, Boston Scientific Corporation, MC: 92.67B, Range: 95%, Change1D: 3.00%, Change1W: 5.57%
  10. MSFT, Microsoft Corporation, MC: 2954.92B, Range: 95%, Change1D: -2.69%, Change1W: -1.24%
  1. GWW, W.W. Grainger Inc., MC: 44.45B, VolumeAvg: 105%
  2. WRB, W. R. Berkley Corporation, MC: 21.01B, VolumeAvg: 109%
  3. WMT, Walmart Inc., MC: 444.89B, VolumeAvg: 104%
  4. META, Meta Platforms Inc., MC: 1002.61B, VolumeAvg: 109%
  5. FI, Fiserv Inc., MC: 85.15B, VolumeAvg: 104%
  6. AMD, Advanced Micro Devices Inc., MC: 270.90B, VolumeAvg: 114%
  7. ALL, The Allstate Corporation, MC: 40.63B, VolumeAvg: 106%
  8. PTC, PTC Inc., MC: 21.58B, VolumeAvg: 106%
  9. WAB, Westinghouse Air Brake Technologies Corporation, MC: 23.57B, VolumeAvg: 103%
  10. DVA, DaVita Inc., MC: 9.88B, VolumeAvg: 101%
  11. DIS, The Walt Disney Company, MC: 176.18B, VolumeAvg: 104%
  12. BK, The Bank of New York Mellon Corporation, MC: 42.11B, VolumeAvg: 104%
  13. BSX, Boston Scientific Corporation, MC: 92.67B, VolumeAvg: 104%
  14. MSFT, Microsoft Corporation, MC: 2954.92B, VolumeAvg: 106%
  15. NVDA, NVIDIA Corporation, MC: 1519.72B, VolumeAvg: 115%
  16. ROP, Roper Technologies Inc., MC: 57.36B, VolumeAvg: 102%
  17. AJG, Arthur J. Gallagher & Co., MC: 50.12B, VolumeAvg: 101%
  18. ACN, Accenture plc, MC: 228.15B, VolumeAvg: 106%
  19. PANW, Palo Alto Networks Inc., MC: 106.73B, VolumeAvg: 109%
  20. IBM, International Business Machines Corporation, MC: 167.70B, VolumeAvg: 109%

Laguerre Percentage Bollinger Bands Aroon Up Percent Change 1 Year
  1. GWW, W.W. Grainger Inc., MC: 44.45B, Lag: 100%
  2. META, Meta Platforms Inc., MC: 1002.61B, Lag: 100%
  3. FI, Fiserv Inc., MC: 85.15B, Lag: 100%
  4. PTC, PTC Inc., MC: 21.58B, Lag: 100%
  5. WAB, Westinghouse Air Brake Technologies Corporation, MC: 23.57B, Lag: 100%
  6. DIS, The Walt Disney Company, MC: 176.18B, Lag: 100%
  7. BK, The Bank of New York Mellon Corporation, MC: 42.11B, Lag: 100%
  8. MSFT, Microsoft Corporation, MC: 2954.92B, Lag: 100%
  9. NVDA, NVIDIA Corporation, MC: 1519.72B, Lag: 100%
  10. ACN, Accenture plc, MC: 228.15B, Lag: 100%
  11. IBM, International Business Machines Corporation, MC: 167.70B, Lag: 100%
  12. HLT, Hilton Worldwide Holdings Inc., MC: 48.97B, Lag: 100%
  13. FTNT, Fortinet Inc., MC: 49.52B, Lag: 100%
  14. HAL, Halliburton Company, MC: 31.91B, Lag: 100%
  15. PGR, The Progressive Corporation, MC: 104.33B, Lag: 100%
  16. XOM, Exxon Mobil Corporation, MC: 410.91B, Lag: 100%
  17. FOX, Fox Corporation, MC: 15.20B, Lag: 100%
  18. NOW, ServiceNow Inc., MC: 156.91B, Lag: 100%
  19. MRK, Merck & Co. Inc., MC: 306.06B, Lag: 100%
  20. CB, Chubb Limited, MC: 99.96B, Lag: 100%
  1. GWW, W.W. Grainger Inc., MC: 44.45B, Band: HIGH
  2. WRB, W. R. Berkley Corporation, MC: 21.01B, Band: HIGH
  3. WMT, Walmart Inc., MC: 444.89B, Band: HIGH
  4. META, Meta Platforms Inc., MC: 1002.61B, Band: HIGH
  5. FI, Fiserv Inc., MC: 85.15B, Band: HIGH
  6. AMD, Advanced Micro Devices Inc., MC: 270.90B, Band: HIGH
  7. PTC, PTC Inc., MC: 21.58B, Band: HIGH
  8. WAB, Westinghouse Air Brake Technologies Corporation, MC: 23.57B, Band: HIGH
  9. DIS, The Walt Disney Company, MC: 176.18B, Band: HIGH
  10. BSX, Boston Scientific Corporation, MC: 92.67B, Band: HIGH
  11. MSFT, Microsoft Corporation, MC: 2954.92B, Band: HIGH
  12. NVDA, NVIDIA Corporation, MC: 1519.72B, Band: HIGH
  13. ROP, Roper Technologies Inc., MC: 57.36B, Band: HIGH
  14. ACN, Accenture plc, MC: 228.15B, Band: HIGH
  15. PANW, Palo Alto Networks Inc., MC: 106.73B, Band: HIGH
  16. IBM, International Business Machines Corporation, MC: 167.70B, Band: HIGH
  17. ANET, Arista Networks Inc., MC: 80.48B, Band: HIGH
  18. HLT, Hilton Worldwide Holdings Inc., MC: 48.97B, Band: HIGH
  19. FTNT, Fortinet Inc., MC: 49.52B, Band: HIGH
  20. HAL, Halliburton Company, MC: 31.91B, Band: HIGH
  1. GWW, W.W. Grainger Inc., MC: 44.45B, AroonUp: 100
  2. WMT, Walmart Inc., MC: 444.89B, AroonUp: 100
  3. META, Meta Platforms Inc., MC: 1002.61B, AroonUp: 100
  4. FI, Fiserv Inc., MC: 85.15B, AroonUp: 100
  5. PTC, PTC Inc., MC: 21.58B, AroonUp: 100
  6. WAB, Westinghouse Air Brake Technologies Corporation, MC: 23.57B, AroonUp: 100
  7. DIS, The Walt Disney Company, MC: 176.18B, AroonUp: 100
  8. BK, The Bank of New York Mellon Corporation, MC: 42.11B, AroonUp: 100
  9. BSX, Boston Scientific Corporation, MC: 92.67B, AroonUp: 100
  10. MSFT, Microsoft Corporation, MC: 2954.92B, AroonUp: 100
  11. NVDA, NVIDIA Corporation, MC: 1519.72B, AroonUp: 100
  12. ROP, Roper Technologies Inc., MC: 57.36B, AroonUp: 100
  13. ANET, Arista Networks Inc., MC: 80.48B, AroonUp: 100
  14. HLT, Hilton Worldwide Holdings Inc., MC: 48.97B, AroonUp: 100
  15. FTNT, Fortinet Inc., MC: 49.52B, AroonUp: 100
  16. HAL, Halliburton Company, MC: 31.91B, AroonUp: 100
  17. AMGN, Amgen Inc., MC: 168.19B, AroonUp: 100
  18. ADSK, Autodesk Inc., MC: 54.29B, AroonUp: 100
  19. NOW, ServiceNow Inc., MC: 156.91B, AroonUp: 100
  20. MRK, Merck & Co. Inc., MC: 306.06B, AroonUp: 100
  1. NVDA, NVIDIA Corporation, MC: 1519.72B, Change1Y: 214.93%
  2. META, Meta Platforms Inc., MC: 1002.61B, Change1Y: 161.89%
  3. AMD, Advanced Micro Devices Inc., MC: 270.90B, Change1Y: 123.14%
  4. BLDR, Builders FirstSource Inc., MC: 21.43B, Change1Y: 118.57%
  5. PANW, Palo Alto Networks Inc., MC: 106.73B, Change1Y: 113.38%
  6. UBER, Uber Technologies Inc., MC: 134.32B, Change1Y: 111.03%
  7. ANET, Arista Networks Inc., MC: 80.48B, Change1Y: 105.27%
  8. AVGO, Broadcom Inc., MC: 552.41B, Change1Y: 101.71%
  9. RCL, Royal Caribbean Cruises Ltd., MC: 32.67B, Change1Y: 96.34%
  10. LLY, Eli Lilly and Company, MC: 612.88B, Change1Y: 87.60%
  11. PHM, PulteGroup Inc., MC: 22.54B, Change1Y: 83.79%
  12. FICO, Fair Isaac Corporation, MC: 29.79B, Change1Y: 80.02%
  13. NOW, ServiceNow Inc., MC: 156.91B, Change1Y: 68.17%
  14. CRM, Salesforce Inc., MC: 272.10B, Change1Y: 67.35%
  15. ADBE, Adobe Inc., MC: 279.24B, Change1Y: 66.81%
  16. LRCX, Lam Research Corporation, MC: 108.75B, Change1Y: 65.00%
  17. GE, General Electric Company, MC: 144.12B, Change1Y: 64.54%
  18. NRG, NRG Energy Inc., MC: 11.97B, Change1Y: 61.04%
  19. MSFT, Microsoft Corporation, MC: 2954.92B, Change1Y: 60.44%
  20. NFLX, Netflix Inc., MC: 246.90B, Change1Y: 59.42%
Hourly Success Flow & 200 Days MovAvg Price to Earnings Dip & 50 Days MovAvg
  1. WMT, Walmart Inc., MC: 444.89B, Hr: 85%
  2. FI, Fiserv Inc., MC: 85.15B, Hr: 85%
  3. CHD, Church & Dwight Co. Inc., MC: 24.60B, Hr: 85%
  4. CMG, Chipotle Mexican Grill Inc., MC: 66.11B, Hr: 85%
  5. KMX, CarMax Inc., MC: 11.24B, Hr: 85%
  6. MSFT, Microsoft Corporation, MC: 2954.92B, Hr: 80%
  7. ROP, Roper Technologies Inc., MC: 57.36B, Hr: 80%
  8. AMGN, Amgen Inc., MC: 168.19B, Hr: 80%
  9. BRO, Brown & Brown Inc., MC: 22.07B, Hr: 80%
  10. WST, West Pharmaceutical Services Inc., MC: 27.60B, Hr: 80%
  1. WMT, Walmart Inc., MC: 444.89B, 200DMA: 4.96%, Flow: 79.43, AvgDirect: 0
  2. ROP, Roper Technologies Inc., MC: 57.36B, 200DMA: 8.77%, Flow: 80.76, AvgDirect: 3
  3. AJG, Arthur J. Gallagher & Co., MC: 50.12B, 200DMA: 3.13%, Flow: 67.23, AvgDirect: 1
  4. MSI, Motorola Solutions Inc., MC: 53.03B, 200DMA: 9.67%, Flow: 67.27, AvgDirect: 1
  5. MMC, Marsh & McLennan Companies Inc., MC: 95.58B, 200DMA: 2.56%, Flow: 65.62, AvgDirect: 1
  6. PG, The Procter & Gamble Company, MC: 369.75B, 200DMA: 4.36%, Flow: 68.76, AvgDirect: 0
  7. GL, Globe Life Inc., MC: 11.65B, 200DMA: 9.95%, Flow: 65.63, AvgDirect: 0
  8. AME, AMETEK Inc., MC: 37.40B, 200DMA: 8.22%, Flow: 61.56, AvgDirect: 1
  9. ABT, Abbott Laboratories, MC: 196.44B, 200DMA: 7.98%, Flow: 66.97, AvgDirect: 0
  10. PXD, Pioneer Natural Resources Company, MC: 53.69B, 200DMA: 2.35%, Flow: 59.90, AvgDirect: 0
  11. EQIX, Equinix Inc., MC: 77.90B, 200DMA: 8.44%, Flow: 65.43, AvgDirect: 3
  12. VRSK, Verisk Analytics Inc., MC: 35.02B, 200DMA: 6.35%, Flow: 64.26, AvgDirect: 1
  13. ACGL, Arch Capital Group Ltd., MC: 30.76B, 200DMA: 5.92%, Flow: 65.49, AvgDirect: 0
  14. CINF, Cincinnati Financial Corporation, MC: 17.39B, 200DMA: 7.40%, Flow: 64.84, AvgDirect: 0
  15. WMB, The Williams Companies Inc., MC: 42.16B, 200DMA: 4.25%, Flow: 61.88, AvgDirect: 0
  16. VMC, Vulcan Materials Company, MC: 30.03B, 200DMA: 7.30%, Flow: 62.38, AvgDirect: 1
  17. MDT, Medtronic plc, MC: 116.40B, 200DMA: 6.43%, Flow: 64.53, AvgDirect: 0
  18. MDLZ, Mondelez International Inc., MC: 102.43B, 200DMA: 4.88%, Flow: 73.43, AvgDirect: 0
  19. EG, Everest Group Ltd., MC: 16.70B, 200DMA: 3.72%, Flow: 66.28, AvgDirect: 0
  20. ORLY, O'Reilly Automotive Inc., MC: 60.53B, 200DMA: 8.48%, Flow: 64.79, AvgDirect: 4
  1. VLO, Valero Energy Corporation, MC: 47.29B, Chance: 65%, PE: 4.74
  2. EG, Everest Group Ltd., MC: 16.70B, Chance: 65%, PE: 7.15
  3. PHM, PulteGroup Inc., MC: 22.54B, Chance: 65%, PE: 8.54
  4. PSX, Phillips 66, MC: 63.49B, Chance: 65%, PE: 8.71
  5. XOM, Exxon Mobil Corporation, MC: 410.91B, Chance: 70%, PE: 10.21
  6. ACGL, Arch Capital Group Ltd., MC: 30.76B, Chance: 65%, PE: 10.64
  7. CVS, CVS Health Corporation, MC: 95.71B, Chance: 70%, PE: 11.23
  8. HIG, The Hartford Financial Services Group Inc., MC: 26.15B, Chance: 70%, PE: 11.96
  9. HAL, Halliburton Company, MC: 31.91B, Chance: 70%, PE: 12.27
  10. IPG, The Interpublic Group of Companies Inc., MC: 12.64B, Chance: 65%, PE: 13.80
  11. BK, The Bank of New York Mellon Corporation, MC: 42.11B, Chance: 75%, PE: 13.87
  12. CB, Chubb Limited, MC: 99.96B, Chance: 70%, PE: 14.35
  13. FOX, Fox Corporation, MC: 15.20B, Chance: 70%, PE: 14.88
  14. FOXA, Fox Corporation, MC: 15.10B, Chance: 70%, PE: 16.06
  15. DVA, DaVita Inc., MC: 9.88B, Chance: 75%, PE: 16.49
  16. WRB, W. R. Berkley Corporation, MC: 21.01B, Chance: 80%, PE: 16.51
  17. CNC, Centene Corporation, MC: 40.23B, Chance: 65%, PE: 16.77
  18. CI, Cigna Corporation, MC: 88.06B, Chance: 65%, PE: 16.93
  19. ELV, Elevance Health Inc., MC: 115.94B, Chance: 70%, PE: 19.43
  20. ROP, Roper Technologies Inc., MC: 57.36B, Chance: 70%, PE: 19.65
  1. DXCM, DexCom Inc., MC: 46.89B, 50DMA: 0.24%, AroonDown: 100
  2. EQR, Equity Residential, MC: 22.86B, 50DMA: 2.01%, AroonDown: 95
  3. ESS, Essex Property Trust Inc., MC: 14.97B, 50DMA: 0.06%, AroonDown: 95
  4. UDR, UDR Inc., MC: 11.85B, 50DMA: 1.09%, AroonDown: 95
  5. CI, Cigna Corporation, MC: 88.06B, 50DMA: 2.65%, AroonDown: 90
  6. CNC, Centene Corporation, MC: 40.23B, 50DMA: 0.62%, AroonDown: 90
  7. CSX, CSX Corporation, MC: 70.55B, 50DMA: 4.99%, AroonDown: 90
  8. SHW, The Sherwin-Williams Company, MC: 77.91B, 50DMA: 2.70%, AroonDown: 90
  9. NVR, NVR Inc., MC: 22.49B, 50DMA: 5.89%, AroonDown: 90
  10. DG, Dollar General Corporation, MC: 28.99B, 50DMA: 0.42%, AroonDown: 90

After Hours Flow & 200 Days MovAvg Price to Earnings Dip & 50 Days MovAvg
  1. PARA, Paramount Global, MC: 9.75B, Premkt: 15.13%, AfterHr: 1.92%
  2. ALGN, Align Technology Inc., MC: 20.47B, Premkt: -0.25%, AfterHr: 11.10%
  3. CTVA, Corteva Inc., MC: 32.05B, Premkt: 0.52%, AfterHr: 5.43%
  4. SYK, Stryker Corporation, MC: 127.46B, Premkt: 5.36%, AfterHr: 0.01%
  5. QRVO, Qorvo Inc., MC: 9.71B, Premkt: 0.24%, AfterHr: 5.27%
  6. SBUX, Starbucks Corporation, MC: 105.33B, Premkt: 4.74%, AfterHr: 0.27%
  7. FMC, FMC Corporation, MC: 7.01B, Premkt: -0.38%, AfterHr: 4.61%
  8. EQR, Equity Residential, MC: 22.86B, Premkt: 4.55%, AfterHr: -
  9. BSX, Boston Scientific Corporation, MC: 92.67B, Premkt: 4.53%, AfterHr: 0.24%
  10. COR, Cencora, MC: 46.42B, Premkt: 3.87%, AfterHr: 0.48%
  11. EW, Edwards Lifesciences Corporation, MC: 47.59B, Premkt: 3.60%, AfterHr: 0.22%
  12. ODFL, Old Dominion Freight Line Inc., MC: 42.67B, Premkt: 3.57%, AfterHr: 0.16%
  13. ADP, Automatic Data Processing Inc., MC: 101.09B, Premkt: 3.11%, AfterHr: -
  14. FTV, Fortive Corporation, MC: 27.48B, Premkt: 3.08%, AfterHr: -
  15. NSC, Norfolk Southern Corporation, MC: 53.20B, Premkt: 0.02%, AfterHr: 2.88%
  16. XEL, Xcel Energy Inc., MC: 33.04B, Premkt: 2.68%, AfterHr: 0.17%
  17. BA, The Boeing Company, MC: 127.67B, Premkt: 2.28%, AfterHr: -0.02%
  18. EQIX, Equinix Inc., MC: 77.90B, Premkt: -0.07%, AfterHr: 2.20%
  19. CB, Chubb Limited, MC: 99.96B, Premkt: 2.19%, AfterHr: -
  20. BXP, Boston Properties Inc., MC: 10.77B, Premkt: 1.97%, AfterHr: -
    EMPTY
    EMPTY
    EMPTY

NASDAQ100 RANKINGS


Portfolio Success Rate Relative Strength Index Previous Day
  1. META, Meta Platforms Inc., MC: 1002.61B, Chance: 80%
  2. ROP, Roper Technologies Inc., MC: 57.36B, 200DMA: 8.77%, Flow: 80.76, AvgDirect: 3
  3. AMD, Advanced Micro Devices Inc., MC: 270.90B, VolumeAvg: 114%
  4. NFLX, Netflix Inc., MC: 246.90B, Flow: 79.92
  5. MSFT, Microsoft Corporation, MC: 2954.92B, RSI: 85.55
  6. SBUX, Starbucks Corporation, MC: 105.33B, Premkt: 4.74%, AfterHr: 0.27%
  7. NVDA, NVIDIA Corporation, MC: 1519.72B, Range: 95%, Change1D: -1.99%, Change1W: 0.27%
  8. AMGN, Amgen Inc., MC: 168.19B, HrChance: 80%
  9. DXCM, DexCom Inc., MC: 46.89B, 50DMA: 0.24%, AroonDown: 100
  10. ASML, ASML Holding N.V., MC: 343.22B, Change1M: 21.33%
  11. ADP, Automatic Data Processing Inc., MC: 101.09B, ChangeDay: 3.01%
  12. CMCSA, Comcast Corporation, MC: 186.89B, Change1W: 6.26%
  13. CRWD, CrowdStrike Holdings Inc., MC: 70.25B, Change3M: 65.47%
  14. ZS, Zscaler Inc., MC: 34.96B, Change6M: 46.95%
  15. PANW, Palo Alto Networks Inc., MC: 106.73B, Change1Y: 113.38%
  16. FTNT, Fortinet Inc., MC: 49.52B, AroonUp: 100
  17. ADSK, Autodesk Inc., MC: 54.29B, Band: HIGH
  18. SPLK, Splunk Inc., MC: 25.84B, Lag: 100%
  19. CDNS, Cadence Design Systems Inc., MC: 78.48B, Strong Buy, Auditors: 9
  1. META, Meta Platforms Inc., MC: 1002.61B, Chance: 80%
  2. AMD, Advanced Micro Devices Inc., MC: 270.90B, Chance: 75%
  3. MSFT, Microsoft Corporation, MC: 2954.92B, Chance: 75%
  4. NVDA, NVIDIA Corporation, MC: 1519.72B, Chance: 75%
  5. ROP, Roper Technologies Inc., MC: 57.36B, Chance: 70%
  6. PANW, Palo Alto Networks Inc., MC: 106.73B, Chance: 70%
  7. FTNT, Fortinet Inc., MC: 49.52B, Chance: 70%
  8. VRTX, Vertex Pharmaceuticals Incorporated, MC: 111.67B, Chance: 70%
  9. AMGN, Amgen Inc., MC: 168.19B, Chance: 70%
  10. ADSK, Autodesk Inc., MC: 54.29B, Chance: 70%
  11. WDAY, Workday Inc., MC: 76.26B, Chance: 70%
  12. SPLK, Splunk Inc., MC: 25.84B, Chance: 70%
  13. NFLX, Netflix Inc., MC: 246.90B, Chance: 70%
  14. MRNA, Moderna Inc., MC: 38.53B, Chance: 65%
  15. CDNS, Cadence Design Systems Inc., MC: 78.48B, Chance: 65%
  16. AMZN, Amazon.com Inc., MC: 1603.84B, Chance: 65%
  17. VRSK, Verisk Analytics Inc., MC: 35.02B, Chance: 65%
  18. CRWD, CrowdStrike Holdings Inc., MC: 70.25B, Chance: 65%
  19. MELI, MercadoLibre Inc., MC: 86.55B, Chance: 65%
  20. ZS, Zscaler Inc., MC: 34.96B, Chance: 65%
  1. MSFT, Microsoft Corporation, MC: 2954.92B, RSI: 85.55
  2. NVDA, NVIDIA Corporation, MC: 1519.72B, RSI: 84.41
  3. NFLX, Netflix Inc., MC: 246.90B, RSI: 84.40
  4. GOOG, Alphabet Inc., MC: 1766.50B, RSI: 80.42
  5. GOOGL, Alphabet Inc., MC: 1760.44B, RSI: 80.24
  6. SPLK, Splunk Inc., MC: 25.84B, RSI: 79.50
  7. FTNT, Fortinet Inc., MC: 49.52B, RSI: 78.91
  8. ROST, Ross Stores Inc., MC: 47.23B, RSI: 78.64
  9. ASML, ASML Holding N.V., MC: 343.22B, RSI: 78.48
  10. META, Meta Platforms Inc., MC: 1002.61B, RSI: 78.18
  11. AMD, Advanced Micro Devices Inc., MC: 270.90B, RSI: 77.46
  12. MDLZ, Mondelez International Inc., MC: 102.43B, RSI: 77.28
  13. ORLY, O'Reilly Automotive Inc., MC: 60.53B, RSI: 77.12
  14. MAR, Marriott International Inc., MC: 70.41B, RSI: 75.66
  15. CMCSA, Comcast Corporation, MC: 186.89B, RSI: 75.12
  16. AMGN, Amgen Inc., MC: 168.19B, RSI: 73.08
  17. PCAR, PACCAR Inc, MC: 52.51B, RSI: 72.38
  18. PANW, Palo Alto Networks Inc., MC: 106.73B, RSI: 72.03
  19. INTU, Intuit Inc., MC: 176.73B, RSI: 71.83
  20. CSCO, Cisco Systems Inc., MC: 203.91B, RSI: 71.64
  1. ADP, Automatic Data Processing Inc., MC: 101.09B, ChangeDay: 3.01%
  2. QCOM, QUALCOMM Incorporated, MC: 165.86B, ChangeDay: 1.73%
  3. PDD, PDD Holdings Inc., MC: 175.11B, ChangeDay: 1.27%
  4. DXCM, DexCom Inc., MC: 46.89B, ChangeDay: 0.46%
  5. INTC, Intel Corporation, MC: 181.63B, ChangeDay: 0.37%
  6. ISRG, Intuitive Surgical Inc., MC: 133.16B, ChangeDay: 0.25%
  7. NFLX, Netflix Inc., MC: 246.90B, ChangeDay: 0.22%
  8. ASML, ASML Holding N.V., MC: 343.22B, ChangeDay: 0.21%
  9. XEL, Xcel Energy Inc., MC: 33.04B, ChangeDay: 0.18%
  10. CEG, Constellation Energy Corporation, MC: 38.92B, ChangeDay: 0.10%
  11. EA, Electronic Arts Inc., MC: 37.00B, ChangeDay: 0.02%
  12. SPLK, Splunk Inc., MC: 25.84B, ChangeDay: -0.03%
  13. AMGN, Amgen Inc., MC: 168.19B, ChangeDay: -0.11%
  14. BIIB, Biogen Inc., MC: 35.74B, ChangeDay: -0.17%
  15. KLAC, KLA Corporation, MC: 80.33B, ChangeDay: -0.22%
  16. CMCSA, Comcast Corporation, MC: 186.89B, ChangeDay: -0.24%
  17. TMUS, T-Mobile US Inc., MC: 186.46B, ChangeDay: -0.29%
  18. CCEP, Coca-Cola Europacific Partners PLC, MC: 31.61B, ChangeDay: -0.35%
  19. AEP, American Electric Power Company Inc., MC: 41.09B, ChangeDay: -0.38%
  20. SIRI, Sirius XM Holdings Inc., MC: 19.54B, ChangeDay: -0.39%

Percent Change 1 Week Percent Change 1 Month Percent Change 3 Months Percent Change 6 Months
  1. CMCSA, Comcast Corporation, MC: 186.89B, Change1W: 6.26%
  2. CEG, Constellation Energy Corporation, MC: 38.92B, Change1W: 5.47%
  3. CSX, CSX Corporation, MC: 70.55B, Change1W: 3.81%
  4. NFLX, Netflix Inc., MC: 246.90B, Change1W: 3.53%
  5. ADP, Automatic Data Processing Inc., MC: 101.09B, Change1W: 3.25%
  6. AMGN, Amgen Inc., MC: 168.19B, Change1W: 2.87%
  7. XEL, Xcel Energy Inc., MC: 33.04B, Change1W: 2.83%
  8. TEAM, Atlassian Corporation Plc, MC: 64.46B, Change1W: 2.75%
  9. ASML, ASML Holding N.V., MC: 343.22B, Change1W: 2.66%
  10. ROST, Ross Stores Inc., MC: 47.23B, Change1W: 2.61%
  11. CDW, CDW Corporation, MC: 30.37B, Change1W: 2.41%
  12. GEHC, GE HealthCare Technologies Inc., MC: 33.40B, Change1W: 2.38%
  13. ISRG, Intuitive Surgical Inc., MC: 133.16B, Change1W: 2.20%
  14. EXC, Exelon Corporation, MC: 34.65B, Change1W: 2.14%
  15. ABNB, Airbnb Inc., MC: 93.60B, Change1W: 2.09%
  16. CCEP, Coca-Cola Europacific Partners PLC, MC: 31.61B, Change1W: 2.00%
  17. ADBE, Adobe Inc., MC: 279.24B, Change1W: 1.86%
  18. MDLZ, Mondelez International Inc., MC: 102.43B, Change1W: 1.79%
  19. PEP, PepsiCo Inc., MC: 231.71B, Change1W: 1.77%
  20. DDOG, Datadog Inc., MC: 40.84B, Change1W: 1.52%
  1. NVDA, NVIDIA Corporation, MC: 1519.72B, Change1M: 27.73%
  2. ASML, ASML Holding N.V., MC: 343.22B, Change1M: 21.33%
  3. AMD, Advanced Micro Devices Inc., MC: 270.90B, Change1M: 21.01%
  4. NFLX, Netflix Inc., MC: 246.90B, Change1M: 20.41%
  5. CRWD, CrowdStrike Holdings Inc., MC: 70.25B, Change1M: 18.47%
  6. PANW, Palo Alto Networks Inc., MC: 106.73B, Change1M: 17.16%
  7. MRVL, Marvell Technology Inc., MC: 58.53B, Change1M: 16.38%
  8. ISRG, Intuitive Surgical Inc., MC: 133.16B, Change1M: 14.27%
  9. META, Meta Platforms Inc., MC: 1002.61B, Change1M: 12.66%
  10. MELI, MercadoLibre Inc., MC: 86.55B, Change1M: 11.94%
  11. FTNT, Fortinet Inc., MC: 49.52B, Change1M: 11.61%
  12. ZS, Zscaler Inc., MC: 34.96B, Change1M: 10.97%
  13. TEAM, Atlassian Corporation Plc, MC: 64.46B, Change1M: 10.19%
  14. LRCX, Lam Research Corporation, MC: 108.75B, Change1M: 10.13%
  15. CDNS, Cadence Design Systems Inc., MC: 78.48B, Change1M: 9.72%
  16. WDAY, Workday Inc., MC: 76.26B, Change1M: 9.21%
  17. ADSK, Autodesk Inc., MC: 54.29B, Change1M: 8.82%
  18. AVGO, Broadcom Inc., MC: 552.41B, Change1M: 8.72%
  19. ORLY, O'Reilly Automotive Inc., MC: 60.53B, Change1M: 8.26%
  20. DDOG, Datadog Inc., MC: 40.84B, Change1M: 8.13%
  1. AMD, Advanced Micro Devices Inc., MC: 270.90B, Change3M: 70.24%
  2. CRWD, CrowdStrike Holdings Inc., MC: 70.25B, Change3M: 65.47%
  3. DDOG, Datadog Inc., MC: 40.84B, Change3M: 52.74%
  4. NVDA, NVIDIA Corporation, MC: 1519.72B, Change3M: 50.88%
  5. ZS, Zscaler Inc., MC: 34.96B, Change3M: 48.51%
  6. ASML, ASML Holding N.V., MC: 343.22B, Change3M: 45.26%
  7. ISRG, Intuitive Surgical Inc., MC: 133.16B, Change3M: 44.24%
  8. MRVL, Marvell Technology Inc., MC: 58.53B, Change3M: 43.37%
  9. LRCX, Lam Research Corporation, MC: 108.75B, Change3M: 40.28%
  10. AVGO, Broadcom Inc., MC: 552.41B, Change3M: 40.25%
  11. PANW, Palo Alto Networks Inc., MC: 106.73B, Change3M: 39.29%
  12. DASH, DoorDash Inc., MC: 41.49B, Change3M: 39.03%
  13. WDAY, Workday Inc., MC: 76.26B, Change3M: 38.39%
  14. TEAM, Atlassian Corporation Plc, MC: 64.46B, Change3M: 38.27%
  15. MELI, MercadoLibre Inc., MC: 86.55B, Change3M: 37.97%
  16. NFLX, Netflix Inc., MC: 246.90B, Change3M: 37.02%
  17. DXCM, DexCom Inc., MC: 46.89B, Change3M: 36.61%
  18. QCOM, QUALCOMM Incorporated, MC: 165.86B, Change3M: 36.26%
  19. MRNA, Moderna Inc., MC: 38.53B, Change3M: 33.03%
  20. ILMN, Illumina Inc., MC: 22.71B, Change3M: 30.70%
  1. CRWD, CrowdStrike Holdings Inc., MC: 70.25B, Change6M: 80.94%
  2. ZS, Zscaler Inc., MC: 34.96B, Change6M: 46.95%
  3. AMD, Advanced Micro Devices Inc., MC: 270.90B, Change6M: 46.58%
  4. SPLK, Splunk Inc., MC: 25.84B, Change6M: 41.62%
  5. PDD, PDD Holdings Inc., MC: 175.11B, Change6M: 41.23%
  6. MELI, MercadoLibre Inc., MC: 86.55B, Change6M: 38.27%
  7. TEAM, Atlassian Corporation Plc, MC: 64.46B, Change6M: 37.28%
  8. PANW, Palo Alto Networks Inc., MC: 106.73B, Change6M: 35.43%
  9. AMGN, Amgen Inc., MC: 168.19B, Change6M: 34.21%
  10. NVDA, NVIDIA Corporation, MC: 1519.72B, Change6M: 31.67%
  11. AVGO, Broadcom Inc., MC: 552.41B, Change6M: 31.31%
  12. NFLX, Netflix Inc., MC: 246.90B, Change6M: 28.51%
  13. REGN, Regeneron Pharmaceuticals Inc., MC: 101.00B, Change6M: 27.08%
  14. CEG, Constellation Energy Corporation, MC: 38.92B, Change6M: 26.23%
  15. ROST, Ross Stores Inc., MC: 47.23B, Change6M: 24.31%
  16. COST, Costco Wholesale Corporation, MC: 308.34B, Change6M: 23.94%
  17. WDAY, Workday Inc., MC: 76.26B, Change6M: 23.55%
  18. INTU, Intuit Inc., MC: 176.73B, Change6M: 23.38%
  19. CDNS, Cadence Design Systems Inc., MC: 78.48B, Change6M: 23.27%
  20. CDW, CDW Corporation, MC: 30.37B, Change6M: 23.07%

Buyer Volume Expert Opinion Median Price Average Price
  1. AMD, Advanced Micro Devices Inc., MC: 270.90B, Flow: 84.30
  2. META, Meta Platforms Inc., MC: 1002.61B, Flow: 83.58
  3. ROP, Roper Technologies Inc., MC: 57.36B, Flow: 80.76
  4. NFLX, Netflix Inc., MC: 246.90B, Flow: 79.92
  5. MRNA, Moderna Inc., MC: 38.53B, Flow: 77.17
  6. MSFT, Microsoft Corporation, MC: 2954.92B, Flow: 77.02
  7. WDAY, Workday Inc., MC: 76.26B, Flow: 76.21
  8. CCEP, Coca-Cola Europacific Partners PLC, MC: 31.61B, Flow: 76.09
  9. MAR, Marriott International Inc., MC: 70.41B, Flow: 75.87
  10. AMGN, Amgen Inc., MC: 168.19B, Flow: 75.83
  11. NVDA, NVIDIA Corporation, MC: 1519.72B, Flow: 74.37
  12. MDLZ, Mondelez International Inc., MC: 102.43B, Flow: 73.43
  13. SPLK, Splunk Inc., MC: 25.84B, Flow: 72.56
  14. GOOG, Alphabet Inc., MC: 1766.50B, Flow: 71.68
  15. GOOGL, Alphabet Inc., MC: 1760.44B, Flow: 71.31
  16. DASH, DoorDash Inc., MC: 41.49B, Flow: 70.98
  17. AMZN, Amazon.com Inc., MC: 1603.84B, Flow: 70.32
  18. CDW, CDW Corporation, MC: 30.37B, Flow: 69.03
  19. AZN, AstraZeneca PLC, MC: 206.57B, Flow: 68.99
  20. PANW, Palo Alto Networks Inc., MC: 106.73B, Flow: 68.30
  1. META, Meta Platforms Inc., MC: 1002.61B, Strong Buy, Auditors: 48
  2. AMD, Advanced Micro Devices Inc., MC: 270.90B, Strong Buy, Auditors: 29
  3. MSFT, Microsoft Corporation, MC: 2954.92B, Strong Buy, Auditors: 41
  4. NVDA, NVIDIA Corporation, MC: 1519.72B, Strong Buy, Auditors: 43
  5. CDNS, Cadence Design Systems Inc., MC: 78.48B, Strong Buy, Auditors: 9
  6. AMZN, Amazon.com Inc., MC: 1603.84B, Strong Buy, Auditors: 43
  7. CRWD, CrowdStrike Holdings Inc., MC: 70.25B, Strong Buy, Auditors: 36
  8. MELI, MercadoLibre Inc., MC: 86.55B, Strong Buy, Auditors: 12
  9. MDLZ, Mondelez International Inc., MC: 102.43B, Strong Buy, Auditors: 20
  10. TMUS, T-Mobile US Inc., MC: 186.46B, Strong Buy, Auditors: 16
  11. CSGP, CoStar Group Inc., MC: 34.09B, Strong Buy, Auditors: 10
  12. MRVL, Marvell Technology Inc., MC: 58.53B, Strong Buy, Auditors: 26
  13. FANG, Diamondback Energy Inc., MC: 27.52B, Strong Buy, Auditors: 15
  14. SNPS, Synopsys Inc., MC: 81.35B, Strong Buy, Auditors: 9
  15. DXCM, DexCom Inc., MC: 46.89B, Strong Buy, Auditors: 15
  16. AVGO, Broadcom Inc., MC: 552.41B, Strong Buy, Auditors: 21
  17. PDD, PDD Holdings Inc., MC: 175.11B, Strong Buy, Auditors: 12
  18. ROP, Roper Technologies Inc., MC: 57.36B, Buy, Auditors: 14
  19. PANW, Palo Alto Networks Inc., MC: 106.73B, Buy, Auditors: 36
  20. FTNT, Fortinet Inc., MC: 49.52B, Buy, Auditors: 32
  1. META, Meta Platforms Inc., MC: 1002.61B, Range: 95%, Change1D: -2.48%, Change1W: -0.14%
  2. MSFT, Microsoft Corporation, MC: 2954.92B, Range: 95%, Change1D: -2.69%, Change1W: -1.24%
  3. NVDA, NVIDIA Corporation, MC: 1519.72B, Range: 95%, Change1D: -1.99%, Change1W: 0.27%
  4. ROP, Roper Technologies Inc., MC: 57.36B, Range: 95%, Change1D: -4.38%, Change1W: -1.92%
  5. FTNT, Fortinet Inc., MC: 49.52B, Range: 95%, Change1D: -3.33%, Change1W: -2.45%
  6. AMGN, Amgen Inc., MC: 168.19B, Range: 95%, Change1D: -0.11%, Change1W: 2.87%
  7. ADSK, Autodesk Inc., MC: 54.29B, Range: 95%, Change1D: -1.04%, Change1W: 0.84%
  8. NFLX, Netflix Inc., MC: 246.90B, Range: 95%, Change1D: 0.22%, Change1W: 3.53%
  9. AMZN, Amazon.com Inc., MC: 1603.84B, Range: 95%, Change1D: -2.39%, Change1W: -1.06%
  10. MELI, MercadoLibre Inc., MC: 86.55B, Range: 95%, Change1D: -1.35%, Change1W: -2.89%
  1. META, Meta Platforms Inc., MC: 1002.61B, VolumeAvg: 109%
  2. AMD, Advanced Micro Devices Inc., MC: 270.90B, VolumeAvg: 114%
  3. MSFT, Microsoft Corporation, MC: 2954.92B, VolumeAvg: 106%
  4. NVDA, NVIDIA Corporation, MC: 1519.72B, VolumeAvg: 115%
  5. ROP, Roper Technologies Inc., MC: 57.36B, VolumeAvg: 102%
  6. PANW, Palo Alto Networks Inc., MC: 106.73B, VolumeAvg: 109%
  7. FTNT, Fortinet Inc., MC: 49.52B, VolumeAvg: 110%
  8. VRTX, Vertex Pharmaceuticals Incorporated, MC: 111.67B, VolumeAvg: 103%
  9. AMGN, Amgen Inc., MC: 168.19B, VolumeAvg: 106%
  10. ADSK, Autodesk Inc., MC: 54.29B, VolumeAvg: 105%
  11. WDAY, Workday Inc., MC: 76.26B, VolumeAvg: 105%
  12. SPLK, Splunk Inc., MC: 25.84B, VolumeAvg: 101%
  13. NFLX, Netflix Inc., MC: 246.90B, VolumeAvg: 112%
  14. MRNA, Moderna Inc., MC: 38.53B, VolumeAvg: 102%
  15. CDNS, Cadence Design Systems Inc., MC: 78.48B, VolumeAvg: 107%
  16. AMZN, Amazon.com Inc., MC: 1603.84B, VolumeAvg: 105%
  17. VRSK, Verisk Analytics Inc., MC: 35.02B, VolumeAvg: 103%
  18. CRWD, CrowdStrike Holdings Inc., MC: 70.25B, VolumeAvg: 109%
  19. MELI, MercadoLibre Inc., MC: 86.55B, VolumeAvg: 108%
  20. ZS, Zscaler Inc., MC: 34.96B, VolumeAvg: 106%

Laguerre Percentage Bollinger Bands Aroon Up Percent Change 1 Year
  1. META, Meta Platforms Inc., MC: 1002.61B, Lag: 100%
  2. MSFT, Microsoft Corporation, MC: 2954.92B, Lag: 100%
  3. NVDA, NVIDIA Corporation, MC: 1519.72B, Lag: 100%
  4. FTNT, Fortinet Inc., MC: 49.52B, Lag: 100%
  5. SPLK, Splunk Inc., MC: 25.84B, Lag: 100%
  6. NFLX, Netflix Inc., MC: 246.90B, Lag: 100%
  7. VRSK, Verisk Analytics Inc., MC: 35.02B, Lag: 100%
  8. MDLZ, Mondelez International Inc., MC: 102.43B, Lag: 100%
  9. ORLY, O'Reilly Automotive Inc., MC: 60.53B, Lag: 100%
  10. INTU, Intuit Inc., MC: 176.73B, Lag: 100%
  11. GOOGL, Alphabet Inc., MC: 1760.44B, Lag: 100%
  12. CSGP, CoStar Group Inc., MC: 34.09B, Lag: 100%
  13. ADBE, Adobe Inc., MC: 279.24B, Lag: 100%
  14. DASH, DoorDash Inc., MC: 41.49B, Lag: 100%
  15. CSCO, Cisco Systems Inc., MC: 203.91B, Lag: 100%
  16. FANG, Diamondback Energy Inc., MC: 27.52B, Lag: 100%
  17. CEG, Constellation Energy Corporation, MC: 38.92B, Lag: 100%
  18. CCEP, Coca-Cola Europacific Partners PLC, MC: 31.61B, Lag: 100%
  19. ASML, ASML Holding N.V., MC: 343.22B, Lag: 100%
  20. ROST, Ross Stores Inc., MC: 47.23B, Lag: 100%
  1. META, Meta Platforms Inc., MC: 1002.61B, Band: HIGH
  2. AMD, Advanced Micro Devices Inc., MC: 270.90B, Band: HIGH
  3. MSFT, Microsoft Corporation, MC: 2954.92B, Band: HIGH
  4. NVDA, NVIDIA Corporation, MC: 1519.72B, Band: HIGH
  5. ROP, Roper Technologies Inc., MC: 57.36B, Band: HIGH
  6. PANW, Palo Alto Networks Inc., MC: 106.73B, Band: HIGH
  7. FTNT, Fortinet Inc., MC: 49.52B, Band: HIGH
  8. AMGN, Amgen Inc., MC: 168.19B, Band: HIGH
  9. ADSK, Autodesk Inc., MC: 54.29B, Band: HIGH
  10. SPLK, Splunk Inc., MC: 25.84B, Band: HIGH
  11. NFLX, Netflix Inc., MC: 246.90B, Band: HIGH
  12. AMZN, Amazon.com Inc., MC: 1603.84B, Band: HIGH
  13. VRSK, Verisk Analytics Inc., MC: 35.02B, Band: HIGH
  14. CRWD, CrowdStrike Holdings Inc., MC: 70.25B, Band: HIGH
  15. MELI, MercadoLibre Inc., MC: 86.55B, Band: HIGH
  16. ZS, Zscaler Inc., MC: 34.96B, Band: HIGH
  17. MDLZ, Mondelez International Inc., MC: 102.43B, Band: HIGH
  18. MAR, Marriott International Inc., MC: 70.41B, Band: HIGH
  19. COST, Costco Wholesale Corporation, MC: 308.34B, Band: HIGH
  20. INTU, Intuit Inc., MC: 176.73B, Band: HIGH
  1. META, Meta Platforms Inc., MC: 1002.61B, AroonUp: 100
  2. MSFT, Microsoft Corporation, MC: 2954.92B, AroonUp: 100
  3. NVDA, NVIDIA Corporation, MC: 1519.72B, AroonUp: 100
  4. ROP, Roper Technologies Inc., MC: 57.36B, AroonUp: 100
  5. FTNT, Fortinet Inc., MC: 49.52B, AroonUp: 100
  6. AMGN, Amgen Inc., MC: 168.19B, AroonUp: 100
  7. ADSK, Autodesk Inc., MC: 54.29B, AroonUp: 100
  8. NFLX, Netflix Inc., MC: 246.90B, AroonUp: 100
  9. AMZN, Amazon.com Inc., MC: 1603.84B, AroonUp: 100
  10. MELI, MercadoLibre Inc., MC: 86.55B, AroonUp: 100
  11. MDLZ, Mondelez International Inc., MC: 102.43B, AroonUp: 100
  12. INTU, Intuit Inc., MC: 176.73B, AroonUp: 100
  13. GOOGL, Alphabet Inc., MC: 1760.44B, AroonUp: 100
  14. ADBE, Adobe Inc., MC: 279.24B, AroonUp: 100
  15. ABNB, Airbnb Inc., MC: 93.60B, AroonUp: 100
  16. DASH, DoorDash Inc., MC: 41.49B, AroonUp: 100
  17. CSX, CSX Corporation, MC: 70.55B, AroonUp: 100
  18. TEAM, Atlassian Corporation Plc, MC: 64.46B, AroonUp: 100
  19. CMCSA, Comcast Corporation, MC: 186.89B, AroonUp: 100
  20. ASML, ASML Holding N.V., MC: 343.22B, AroonUp: 100
  1. NVDA, NVIDIA Corporation, MC: 1519.72B, Change1Y: 214.93%
  2. CRWD, CrowdStrike Holdings Inc., MC: 70.25B, Change1Y: 176.20%
  3. META, Meta Platforms Inc., MC: 1002.61B, Change1Y: 161.89%
  4. AMD, Advanced Micro Devices Inc., MC: 270.90B, Change1Y: 123.14%
  5. PANW, Palo Alto Networks Inc., MC: 106.73B, Change1Y: 113.38%
  6. AVGO, Broadcom Inc., MC: 552.41B, Change1Y: 101.71%
  7. ZS, Zscaler Inc., MC: 34.96B, Change1Y: 89.81%
  8. MDB, MongoDB Inc., MC: 28.91B, Change1Y: 86.98%
  9. DASH, DoorDash Inc., MC: 41.49B, Change1Y: 79.90%
  10. ADBE, Adobe Inc., MC: 279.24B, Change1Y: 66.81%
  11. DDOG, Datadog Inc., MC: 40.84B, Change1Y: 66.34%
  12. LRCX, Lam Research Corporation, MC: 108.75B, Change1Y: 65.00%
  13. SPLK, Splunk Inc., MC: 25.84B, Change1Y: 63.82%
  14. WDAY, Workday Inc., MC: 76.26B, Change1Y: 61.48%
  15. MSFT, Microsoft Corporation, MC: 2954.92B, Change1Y: 60.44%
  16. NFLX, Netflix Inc., MC: 246.90B, Change1Y: 59.42%
  17. CDNS, Cadence Design Systems Inc., MC: 78.48B, Change1Y: 57.78%
  18. MRVL, Marvell Technology Inc., MC: 58.53B, Change1Y: 56.90%
  19. TEAM, Atlassian Corporation Plc, MC: 64.46B, Change1Y: 54.54%
  20. ISRG, Intuitive Surgical Inc., MC: 133.16B, Change1Y: 53.94%
Hourly Success Flow & 200 Days MovAvg Price to Earnings Dip & 50 Days MovAvg
  1. MSFT, Microsoft Corporation, MC: 2954.92B, Hr: 80%
  2. ROP, Roper Technologies Inc., MC: 57.36B, Hr: 80%
  3. AMGN, Amgen Inc., MC: 168.19B, Hr: 80%
  4. PYPL, PayPal Holdings Inc., MC: 66.14B, Hr: 75%
  5. PEP, PepsiCo Inc., MC: 231.71B, Hr: 75%
  6. HON, Honeywell International Inc., MC: 133.34B, Hr: 75%
  7. NVDA, NVIDIA Corporation, MC: 1519.72B, Hr: 70%
  8. CDNS, Cadence Design Systems Inc., MC: 78.48B, Hr: 70%
  9. MDLZ, Mondelez International Inc., MC: 102.43B, Hr: 70%
  10. COST, Costco Wholesale Corporation, MC: 308.34B, Hr: 70%
  1. ROP, Roper Technologies Inc., MC: 57.36B, 200DMA: 8.77%, Flow: 80.76, AvgDirect: 3
  2. VRSK, Verisk Analytics Inc., MC: 35.02B, 200DMA: 6.35%, Flow: 64.26, AvgDirect: 1
  3. MDLZ, Mondelez International Inc., MC: 102.43B, 200DMA: 4.88%, Flow: 73.43, AvgDirect: 0
  4. ORLY, O'Reilly Automotive Inc., MC: 60.53B, 200DMA: 8.48%, Flow: 64.79, AvgDirect: 4
  5. GOOGL, Alphabet Inc., MC: 1760.44B, 200DMA: 8.53%, Flow: 71.31, AvgDirect: 1
  6. CSGP, CoStar Group Inc., MC: 34.09B, 200DMA: 2.83%, Flow: 62.93, AvgDirect: 0
  7. PAYX, Paychex Inc., MC: 43.80B, 200DMA: 4.79%, Flow: 54.92, AvgDirect: 0
  8. FANG, Diamondback Energy Inc., MC: 27.52B, 200DMA: 5.63%, Flow: 55.71, AvgDirect: 0
  9. CMCSA, Comcast Corporation, MC: 186.89B, 200DMA: 8.78%, Flow: 59.74, AvgDirect: 0
  10. NXPI, NXP Semiconductors N.V., MC: 54.28B, 200DMA: 6.19%, Flow: 54.75, AvgDirect: 1
  11. EA, Electronic Arts Inc., MC: 37.00B, 200DMA: 6.38%, Flow: 53.95, AvgDirect: 0
  12. ADI, Analog Devices Inc., MC: 95.38B, 200DMA: 4.93%, Flow: 55.23, AvgDirect: 0
  13. CCEP, Coca-Cola Europacific Partners PLC, MC: 31.61B, 200DMA: 8.78%, Flow: 76.09, AvgDirect: 0
  14. ODFL, Old Dominion Freight Line Inc., MC: 42.67B, 200DMA: 4.58%, Flow: 59.88, AvgDirect: 2
  15. ADP, Automatic Data Processing Inc., MC: 101.09B, 200DMA: 6.02%, Flow: 52.86, AvgDirect: 1
  16. DXCM, DexCom Inc., MC: 46.89B, 200DMA: 7.20%, Flow: 51.91, AvgDirect: 0
  17. ANSS, ANSYS Inc., MC: 28.48B, 200DMA: 4.91%, Flow: 51.31, AvgDirect: 0
  18. HON, Honeywell International Inc., MC: 133.34B, 200DMA: 3.69%, Flow: 55.89, AvgDirect: 0
  1. ROP, Roper Technologies Inc., MC: 57.36B, Chance: 70%, PE: 19.65
  1. DXCM, DexCom Inc., MC: 46.89B, 50DMA: 0.24%, AroonDown: 100
  2. CSX, CSX Corporation, MC: 70.55B, 50DMA: 4.99%, AroonDown: 90
  3. PEP, PepsiCo Inc., MC: 231.71B, 50DMA: 0.26%, AroonDown: 80
  4. KHC, The Kraft Heinz Company, MC: 45.54B, 50DMA: 1.49%, AroonDown: 75
  5. DLTR, Dollar Tree Inc., MC: 28.46B, 50DMA: 0.17%, AroonDown: 75
  6. MRNA, Moderna Inc., MC: 38.53B, 50DMA: 8.89%, AroonDown: 65
  7. FANG, Diamondback Energy Inc., MC: 27.52B, 50DMA: 1.01%, AroonDown: 65
  8. CMCSA, Comcast Corporation, MC: 186.89B, 50DMA: 7.14%, AroonDown: 65
  9. BIIB, Biogen Inc., MC: 35.74B, 50DMA: 0.09%, AroonDown: 65
  10. AZN, AstraZeneca PLC, MC: 206.57B, 50DMA: 0.79%, AroonDown: 60

After Hours Flow & 200 Days MovAvg Price to Earnings Dip & 50 Days MovAvg
  1. SBUX, Starbucks Corporation, MC: 105.33B, Premkt: 4.74%, AfterHr: 0.27%
  2. ODFL, Old Dominion Freight Line Inc., MC: 42.67B, Premkt: 3.57%, AfterHr: 0.16%
  3. ADP, Automatic Data Processing Inc., MC: 101.09B, Premkt: 3.11%, AfterHr: -
  4. XEL, Xcel Energy Inc., MC: 33.04B, Premkt: 2.68%, AfterHr: 0.17%
  5. WBD, Warner Bros. Discovery Inc., MC: 24.43B, Premkt: 1.78%, AfterHr: 1.00%
  6. CSGP, CoStar Group Inc., MC: 34.09B, Premkt: -, AfterHr: 1.76%
  7. FTNT, Fortinet Inc., MC: 49.52B, Premkt: -2.38%, AfterHr: 1.15%
  8. PCAR, PACCAR Inc, MC: 52.51B, Premkt: -0.02%, AfterHr: 1.03%
  9. MELI, MercadoLibre Inc., MC: 86.55B, Premkt: -0.65%, AfterHr: 0.98%
  10. BKR, Baker Hughes Company, MC: 28.68B, Premkt: 0.89%, AfterHr: 0.67%
  11. ROST, Ross Stores Inc., MC: 47.23B, Premkt: -, AfterHr: 0.87%
  12. CMCSA, Comcast Corporation, MC: 186.89B, Premkt: 0.15%, AfterHr: 0.86%
  13. AZN, AstraZeneca PLC, MC: 206.57B, Premkt: 0.82%, AfterHr: -0.08%
  14. KHC, The Kraft Heinz Company, MC: 45.54B, Premkt: -0.29%, AfterHr: 0.81%
  15. TMUS, T-Mobile US Inc., MC: 186.46B, Premkt: 0.80%, AfterHr: 0.27%
  16. MNST, Monster Beverage Corporation, MC: 57.25B, Premkt: 0.72%, AfterHr: 0.65%
  17. INTU, Intuit Inc., MC: 176.73B, Premkt: -0.58%, AfterHr: 0.71%
  18. EXC, Exelon Corporation, MC: 34.65B, Premkt: 0.69%, AfterHr: 0.11%
  19. WDAY, Workday Inc., MC: 76.26B, Premkt: -0.80%, AfterHr: 0.66%
  20. ADI, Analog Devices Inc., MC: 95.38B, Premkt: -0.79%, AfterHr: 0.65%
    EMPTY
    EMPTY
    EMPTY

DOW30 RANKINGS


Portfolio Success Rate Relative Strength Index Previous Day
  1. WMT, Walmart Inc., MC: 444.89B, Chance: 80%
  2. PG, The Procter & Gamble Company, MC: 369.75B, 200DMA: 4.36%, Flow: 68.76, AvgDirect: 0
  3. DIS, The Walt Disney Company, MC: 176.18B, VolumeAvg: 104%
  4. MSFT, Microsoft Corporation, MC: 2954.92B, Flow: 77.02
  5. IBM, International Business Machines Corporation, MC: 167.70B, RSI: 89.24
  6. BA, The Boeing Company, MC: 127.67B, Premkt: 2.28%, AfterHr: -0.02%
  7. VZ, Verizon Communications Inc., MC: 178.04B, Chance: 70%, PE: 15.34
  8. AMGN, Amgen Inc., MC: 168.19B, Range: 95%, Change1D: -0.11%, Change1W: 2.87%
  9. MRK, Merck & Co. Inc., MC: 306.06B, HrChance: 75%
  10. GS, The Goldman Sachs Group Inc., MC: 125.23B, 50DMA: 4.24%, AroonDown: 70
  11. TRV, The Travelers Companies Inc., MC: 48.27B, Change1M: 10.42%
  12. UNH, UnitedHealth Group Incorporated, MC: 473.32B, ChangeDay: 1.61%
  13. AXP, American Express Company, MC: 146.29B, Change1W: 8.03%
  14. CRM, Salesforce Inc., MC: 272.10B, Change3M: 39.96%
  15. INTC, Intel Corporation, MC: 181.63B, Change6M: 20.44%
  16. AAPL, Apple Inc, MC: 2851.17B, Change1Y: 27.80%
  17. JPM, JPMorgan Chase & Co., MC: 504.08B, AroonUp: 95
  18. CAT, Caterpillar Inc., MC: 152.88B, Band: HIGH
  19. CSCO, Cisco Systems Inc., MC: 203.91B, Lag: 100%
  20. MCD, McDonald's Corporation, MC: 212.32B, Strong Buy, Auditors: 27
  1. WMT, Walmart Inc., MC: 444.89B, Chance: 80%
  2. DIS, The Walt Disney Company, MC: 176.18B, Chance: 75%
  3. MSFT, Microsoft Corporation, MC: 2954.92B, Chance: 75%
  4. IBM, International Business Machines Corporation, MC: 167.70B, Chance: 70%
  5. AMGN, Amgen Inc., MC: 168.19B, Chance: 70%
  6. MRK, Merck & Co. Inc., MC: 306.06B, Chance: 70%
  7. VZ, Verizon Communications Inc., MC: 178.04B, Chance: 70%
  8. PG, The Procter & Gamble Company, MC: 369.75B, Chance: 70%
  9. CRM, Salesforce Inc., MC: 272.10B, Chance: 70%
  10. TRV, The Travelers Companies Inc., MC: 48.27B, Chance: 70%
  11. HD, The Home Depot Inc., MC: 351.29B, Chance: 65%
  12. JPM, JPMorgan Chase & Co., MC: 504.08B, Chance: 60%
  13. JNJ, Johnson & Johnson, MC: 382.52B, Chance: 60%
  14. UNH, UnitedHealth Group Incorporated, MC: 473.32B, Chance: 60%
  15. CAT, Caterpillar Inc., MC: 152.88B, Chance: 60%
  16. AXP, American Express Company, MC: 146.29B, Chance: 55%
  17. CSCO, Cisco Systems Inc., MC: 203.91B, Chance: 55%
  18. KO, The Coca-Cola Company, MC: 257.20B, Chance: 55%
  19. CVX, Chevron Corporation, MC: 277.47B, Chance: 55%
  20. MCD, McDonald's Corporation, MC: 212.32B, Chance: 50%
  1. IBM, International Business Machines Corporation, MC: 167.70B, RSI: 89.24
  2. MSFT, Microsoft Corporation, MC: 2954.92B, RSI: 85.55
  3. AXP, American Express Company, MC: 146.29B, RSI: 81.78
  4. MRK, Merck & Co. Inc., MC: 306.06B, RSI: 77.88
  5. TRV, The Travelers Companies Inc., MC: 48.27B, RSI: 77.36
  6. WMT, Walmart Inc., MC: 444.89B, RSI: 75.72
  7. PG, The Procter & Gamble Company, MC: 369.75B, RSI: 74.13
  8. VZ, Verizon Communications Inc., MC: 178.04B, RSI: 73.96
  9. DIS, The Walt Disney Company, MC: 176.18B, RSI: 73.59
  10. AMGN, Amgen Inc., MC: 168.19B, RSI: 73.08
  11. CSCO, Cisco Systems Inc., MC: 203.91B, RSI: 71.64
  12. CRM, Salesforce Inc., MC: 272.10B, RSI: 69.23
  13. CAT, Caterpillar Inc., MC: 152.88B, RSI: 66.60
  14. JPM, JPMorgan Chase & Co., MC: 504.08B, RSI: 63.14
  15. CVX, Chevron Corporation, MC: 277.47B, RSI: 57.67
  16. HD, The Home Depot Inc., MC: 351.29B, RSI: 56.40
  17. JNJ, Johnson & Johnson, MC: 382.52B, RSI: 53.43
  18. DOW, Dow Inc., MC: 37.59B, RSI: 52.99
  19. KO, The Coca-Cola Company, MC: 257.20B, RSI: 52.61
  20. HON, Honeywell International Inc., MC: 133.34B, RSI: 51.27
  1. BA, The Boeing Company, MC: 127.67B, ChangeDay: 5.29%
  2. UNH, UnitedHealth Group Incorporated, MC: 473.32B, ChangeDay: 1.61%
  3. INTC, Intel Corporation, MC: 181.63B, ChangeDay: 0.37%
  4. JNJ, Johnson & Johnson, MC: 382.52B, ChangeDay: 0.08%
  5. AMGN, Amgen Inc., MC: 168.19B, ChangeDay: -0.11%
  6. WMT, Walmart Inc., MC: 444.89B, ChangeDay: -0.21%
  7. PG, The Procter & Gamble Company, MC: 369.75B, ChangeDay: -0.22%
  8. VZ, Verizon Communications Inc., MC: 178.04B, ChangeDay: -0.28%
  9. MCD, McDonald's Corporation, MC: 212.32B, ChangeDay: -0.66%
  10. KO, The Coca-Cola Company, MC: 257.20B, ChangeDay: -0.68%
  11. MRK, Merck & Co. Inc., MC: 306.06B, ChangeDay: -0.72%
  12. GS, The Goldman Sachs Group Inc., MC: 125.23B, ChangeDay: -0.74%
  13. WBA, Walgreens Boots Alliance Inc., MC: 19.46B, ChangeDay: -0.83%
  14. DIS, The Walt Disney Company, MC: 176.18B, ChangeDay: -0.92%
  15. TRV, The Travelers Companies Inc., MC: 48.27B, ChangeDay: -1.02%
  16. JPM, JPMorgan Chase & Co., MC: 504.08B, ChangeDay: -1.08%
  17. HD, The Home Depot Inc., MC: 351.29B, ChangeDay: -1.16%
  18. CAT, Caterpillar Inc., MC: 152.88B, ChangeDay: -1.46%
  19. MMM, 3M Company, MC: 52.11B, ChangeDay: -1.46%
  20. DOW, Dow Inc., MC: 37.59B, ChangeDay: -1.60%

Percent Change 1 Week Percent Change 1 Month Percent Change 3 Months Percent Change 6 Months
  1. AXP, American Express Company, MC: 146.29B, Change1W: 8.03%
  2. IBM, International Business Machines Corporation, MC: 167.70B, Change1W: 5.59%
  3. CAT, Caterpillar Inc., MC: 152.88B, Change1W: 3.31%
  4. PG, The Procter & Gamble Company, MC: 369.75B, Change1W: 3.30%
  5. WMT, Walmart Inc., MC: 444.89B, Change1W: 2.96%
  6. AMGN, Amgen Inc., MC: 168.19B, Change1W: 2.87%
  7. DIS, The Walt Disney Company, MC: 176.18B, Change1W: 2.73%
  8. VZ, Verizon Communications Inc., MC: 178.04B, Change1W: 2.59%
  9. DOW, Dow Inc., MC: 37.59B, Change1W: 2.49%
  10. JPM, JPMorgan Chase & Co., MC: 504.08B, Change1W: 2.26%
  11. CVX, Chevron Corporation, MC: 277.47B, Change1W: 1.73%
  12. HD, The Home Depot Inc., MC: 351.29B, Change1W: 1.64%
  13. MRK, Merck & Co. Inc., MC: 306.06B, Change1W: 1.60%
  14. CRM, Salesforce Inc., MC: 272.10B, Change1W: 1.52%
  15. GS, The Goldman Sachs Group Inc., MC: 125.23B, Change1W: 1.22%
  16. HON, Honeywell International Inc., MC: 133.34B, Change1W: 1.20%
  17. MMM, 3M Company, MC: 52.11B, Change1W: 1.19%
  18. KO, The Coca-Cola Company, MC: 257.20B, Change1W: 0.98%
  19. WBA, Walgreens Boots Alliance Inc., MC: 19.46B, Change1W: 0.89%
  20. NKE, NIKE Inc., MC: 153.85B, Change1W: 0.76%
  1. IBM, International Business Machines Corporation, MC: 167.70B, Change1M: 13.72%
  2. TRV, The Travelers Companies Inc., MC: 48.27B, Change1M: 10.42%
  3. CRM, Salesforce Inc., MC: 272.10B, Change1M: 9.75%
  4. VZ, Verizon Communications Inc., MC: 178.04B, Change1M: 8.93%
  5. MSFT, Microsoft Corporation, MC: 2954.92B, Change1M: 7.20%
  6. MRK, Merck & Co. Inc., MC: 306.06B, Change1M: 6.66%
  7. AXP, American Express Company, MC: 146.29B, Change1M: 6.60%
  8. DIS, The Walt Disney Company, MC: 176.18B, Change1M: 5.89%
  9. AMGN, Amgen Inc., MC: 168.19B, Change1M: 5.67%
  10. PG, The Procter & Gamble Company, MC: 369.75B, Change1M: 5.65%
  11. WMT, Walmart Inc., MC: 444.89B, Change1M: 3.74%
  12. CAT, Caterpillar Inc., MC: 152.88B, Change1M: 2.60%
  13. HD, The Home Depot Inc., MC: 351.29B, Change1M: 2.28%
  14. JPM, JPMorgan Chase & Co., MC: 504.08B, Change1M: 1.33%
  15. KO, The Coca-Cola Company, MC: 257.20B, Change1M: -0.55%
  16. CSCO, Cisco Systems Inc., MC: 203.91B, Change1M: -0.65%
  17. JNJ, Johnson & Johnson, MC: 382.52B, Change1M: -0.67%
  18. AAPL, Apple Inc, MC: 2851.17B, Change1M: -0.67%
  19. GS, The Goldman Sachs Group Inc., MC: 125.23B, Change1M: -1.10%
  20. CVX, Chevron Corporation, MC: 277.47B, Change1M: -1.37%
  1. CRM, Salesforce Inc., MC: 272.10B, Change3M: 39.96%
  2. AXP, American Express Company, MC: 146.29B, Change3M: 37.47%
  3. CAT, Caterpillar Inc., MC: 152.88B, Change3M: 32.85%
  4. IBM, International Business Machines Corporation, MC: 167.70B, Change3M: 26.98%
  5. GS, The Goldman Sachs Group Inc., MC: 125.23B, Change3M: 26.48%
  6. TRV, The Travelers Companies Inc., MC: 48.27B, Change3M: 26.23%
  7. JPM, JPMorgan Chase & Co., MC: 504.08B, Change3M: 25.39%
  8. HD, The Home Depot Inc., MC: 351.29B, Change3M: 23.98%
  9. AMGN, Amgen Inc., MC: 168.19B, Change3M: 22.90%
  10. VZ, Verizon Communications Inc., MC: 178.04B, Change3M: 20.55%
  11. INTC, Intel Corporation, MC: 181.63B, Change3M: 18.03%
  12. DIS, The Walt Disney Company, MC: 176.18B, Change3M: 17.72%
  13. MRK, Merck & Co. Inc., MC: 306.06B, Change3M: 17.61%
  14. MSFT, Microsoft Corporation, MC: 2954.92B, Change3M: 17.59%
  15. BA, The Boeing Company, MC: 127.67B, Change3M: 12.96%
  16. DOW, Dow Inc., MC: 37.59B, Change3M: 12.56%
  17. MCD, McDonald's Corporation, MC: 212.32B, Change3M: 11.65%
  18. HON, Honeywell International Inc., MC: 133.34B, Change3M: 10.37%
  19. AAPL, Apple Inc, MC: 2851.17B, Change3M: 7.98%
  20. JNJ, Johnson & Johnson, MC: 382.52B, Change3M: 7.12%
  1. AMGN, Amgen Inc., MC: 168.19B, Change6M: 34.21%
  2. IBM, International Business Machines Corporation, MC: 167.70B, Change6M: 27.38%
  3. CRM, Salesforce Inc., MC: 272.10B, Change6M: 24.92%
  4. VZ, Verizon Communications Inc., MC: 178.04B, Change6M: 24.27%
  5. TRV, The Travelers Companies Inc., MC: 48.27B, Change6M: 22.45%
  6. INTC, Intel Corporation, MC: 181.63B, Change6M: 20.44%
  7. AXP, American Express Company, MC: 146.29B, Change6M: 18.87%
  8. MSFT, Microsoft Corporation, MC: 2954.92B, Change6M: 18.36%
  9. MRK, Merck & Co. Inc., MC: 306.06B, Change6M: 13.25%
  10. CAT, Caterpillar Inc., MC: 152.88B, Change6M: 13.25%
  11. JPM, JPMorgan Chase & Co., MC: 504.08B, Change6M: 10.38%
  12. DIS, The Walt Disney Company, MC: 176.18B, Change6M: 8.06%
  13. GS, The Goldman Sachs Group Inc., MC: 125.23B, Change6M: 7.91%
  14. HD, The Home Depot Inc., MC: 351.29B, Change6M: 5.73%
  15. HON, Honeywell International Inc., MC: 133.34B, Change6M: 4.19%
  16. WMT, Walmart Inc., MC: 444.89B, Change6M: 3.37%
  17. UNH, UnitedHealth Group Incorporated, MC: 473.32B, Change6M: 1.06%
  18. PG, The Procter & Gamble Company, MC: 369.75B, Change6M: 0.54%
  19. MCD, McDonald's Corporation, MC: 212.32B, Change6M: -0.16%
  20. CSCO, Cisco Systems Inc., MC: 203.91B, Change6M: -3.57%

Buyer Volume Expert Opinion Median Price Average Price
  1. WMT, Walmart Inc., MC: 444.89B, Flow: 79.43
  2. MSFT, Microsoft Corporation, MC: 2954.92B, Flow: 77.02
  3. MRK, Merck & Co. Inc., MC: 306.06B, Flow: 75.92
  4. AMGN, Amgen Inc., MC: 168.19B, Flow: 75.83
  5. TRV, The Travelers Companies Inc., MC: 48.27B, Flow: 74.54
  6. IBM, International Business Machines Corporation, MC: 167.70B, Flow: 72.13
  7. CRM, Salesforce Inc., MC: 272.10B, Flow: 70.98
  8. JNJ, Johnson & Johnson, MC: 382.52B, Flow: 69.24
  9. PG, The Procter & Gamble Company, MC: 369.75B, Flow: 68.76
  10. VZ, Verizon Communications Inc., MC: 178.04B, Flow: 68.59
  11. CAT, Caterpillar Inc., MC: 152.88B, Flow: 68.08
  12. AXP, American Express Company, MC: 146.29B, Flow: 66.43
  13. KO, The Coca-Cola Company, MC: 257.20B, Flow: 65.60
  14. JPM, JPMorgan Chase & Co., MC: 504.08B, Flow: 63.88
  15. CVX, Chevron Corporation, MC: 277.47B, Flow: 58.72
  16. CSCO, Cisco Systems Inc., MC: 203.91B, Flow: 57.18
  17. UNH, UnitedHealth Group Incorporated, MC: 473.32B, Flow: 56.44
  18. HON, Honeywell International Inc., MC: 133.34B, Flow: 55.89
  19. HD, The Home Depot Inc., MC: 351.29B, Flow: 55.87
  20. DOW, Dow Inc., MC: 37.59B, Flow: 54.61
  1. MSFT, Microsoft Corporation, MC: 2954.92B, Strong Buy, Auditors: 41
  2. MRK, Merck & Co. Inc., MC: 306.06B, Strong Buy, Auditors: 19
  3. MCD, McDonald's Corporation, MC: 212.32B, Strong Buy, Auditors: 27
  4. BA, The Boeing Company, MC: 127.67B, Strong Buy, Auditors: 19
  5. WMT, Walmart Inc., MC: 444.89B, Buy, Auditors: 31
  6. DIS, The Walt Disney Company, MC: 176.18B, Buy, Auditors: 22
  7. AMGN, Amgen Inc., MC: 168.19B, Buy, Auditors: 20
  8. VZ, Verizon Communications Inc., MC: 178.04B, Buy, Auditors: 16
  9. PG, The Procter & Gamble Company, MC: 369.75B, Buy, Auditors: 18
  10. CRM, Salesforce Inc., MC: 272.10B, Buy, Auditors: 36
  11. HD, The Home Depot Inc., MC: 351.29B, Buy, Auditors: 25
  12. JPM, JPMorgan Chase & Co., MC: 504.08B, Buy, Auditors: 19
  13. JNJ, Johnson & Johnson, MC: 382.52B, Buy, Auditors: 14
  14. UNH, UnitedHealth Group Incorporated, MC: 473.32B, Buy, Auditors: 23
  15. CAT, Caterpillar Inc., MC: 152.88B, Buy, Auditors: 19
  16. CSCO, Cisco Systems Inc., MC: 203.91B, Buy, Auditors: 23
  17. KO, The Coca-Cola Company, MC: 257.20B, Buy, Auditors: 12
  18. CVX, Chevron Corporation, MC: 277.47B, Buy, Auditors: 19
  19. HON, Honeywell International Inc., MC: 133.34B, Buy, Auditors: 11
  20. AAPL, Apple Inc, MC: 2851.17B, Buy, Auditors: 35
  1. WMT, Walmart Inc., MC: 444.89B, Range: 95%, Change1D: -0.21%, Change1W: 2.96%
  2. DIS, The Walt Disney Company, MC: 176.18B, Range: 95%, Change1D: -0.92%, Change1W: 2.73%
  3. MSFT, Microsoft Corporation, MC: 2954.92B, Range: 95%, Change1D: -2.69%, Change1W: -1.24%
  4. AMGN, Amgen Inc., MC: 168.19B, Range: 95%, Change1D: -0.11%, Change1W: 2.87%
  5. MRK, Merck & Co. Inc., MC: 306.06B, Range: 95%, Change1D: -0.72%, Change1W: 1.60%
  6. PG, The Procter & Gamble Company, MC: 369.75B, Range: 95%, Change1D: -0.22%, Change1W: 3.30%
  7. CRM, Salesforce Inc., MC: 272.10B, Range: 95%, Change1D: -2.31%, Change1W: 1.52%
  8. AXP, American Express Company, MC: 146.29B, Range: 95%, Change1D: -1.67%, Change1W: 8.03%
  9. IBM, International Business Machines Corporation, MC: 167.70B, Range: 90%, Change1D: -2.24%, Change1W: 5.59%
  10. VZ, Verizon Communications Inc., MC: 178.04B, Range: 90%, Change1D: -0.28%, Change1W: 2.59%
  1. WMT, Walmart Inc., MC: 444.89B, VolumeAvg: 104%
  2. DIS, The Walt Disney Company, MC: 176.18B, VolumeAvg: 104%
  3. MSFT, Microsoft Corporation, MC: 2954.92B, VolumeAvg: 106%
  4. IBM, International Business Machines Corporation, MC: 167.70B, VolumeAvg: 109%
  5. AMGN, Amgen Inc., MC: 168.19B, VolumeAvg: 106%
  6. MRK, Merck & Co. Inc., MC: 306.06B, VolumeAvg: 107%
  7. VZ, Verizon Communications Inc., MC: 178.04B, VolumeAvg: 107%
  8. PG, The Procter & Gamble Company, MC: 369.75B, VolumeAvg: 105%
  9. CRM, Salesforce Inc., MC: 272.10B, VolumeAvg: 106%
  10. TRV, The Travelers Companies Inc., MC: 48.27B, VolumeAvg: 107%
  11. HD, The Home Depot Inc., MC: 351.29B, VolumeAvg: 101%
  12. JPM, JPMorgan Chase & Co., MC: 504.08B, VolumeAvg: 102%
  13. JNJ, Johnson & Johnson, MC: 382.52B, VolumeAvg: 101%
  14. CAT, Caterpillar Inc., MC: 152.88B, VolumeAvg: 103%
  15. AXP, American Express Company, MC: 146.29B, VolumeAvg: 107%
  16. CSCO, Cisco Systems Inc., MC: 203.91B, VolumeAvg: 103%
  17. KO, The Coca-Cola Company, MC: 257.20B, VolumeAvg: 100%
  18. CVX, Chevron Corporation, MC: 277.47B, VolumeAvg: 100%
  19. AAPL, Apple Inc, MC: 2851.17B, VolumeAvg: 101%
  20. DOW, Dow Inc., MC: 37.59B, VolumeAvg: 100%

Laguerre Percentage Bollinger Bands Aroon Up Percent Change 1 Year
  1. DIS, The Walt Disney Company, MC: 176.18B, Lag: 100%
  2. MSFT, Microsoft Corporation, MC: 2954.92B, Lag: 100%
  3. IBM, International Business Machines Corporation, MC: 167.70B, Lag: 100%
  4. MRK, Merck & Co. Inc., MC: 306.06B, Lag: 100%
  5. PG, The Procter & Gamble Company, MC: 369.75B, Lag: 100%
  6. JPM, JPMorgan Chase & Co., MC: 504.08B, Lag: 100%
  7. CAT, Caterpillar Inc., MC: 152.88B, Lag: 100%
  8. AXP, American Express Company, MC: 146.29B, Lag: 100%
  9. CSCO, Cisco Systems Inc., MC: 203.91B, Lag: 100%
  10. CVX, Chevron Corporation, MC: 277.47B, Lag: 100%
  11. VZ, Verizon Communications Inc., MC: 178.04B, Lag: 96%
  12. CRM, Salesforce Inc., MC: 272.10B, Lag: 91%
  13. HON, Honeywell International Inc., MC: 133.34B, Lag: 87%
  14. DOW, Dow Inc., MC: 37.59B, Lag: 77%
  15. AMGN, Amgen Inc., MC: 168.19B, Lag: 71%
  16. WMT, Walmart Inc., MC: 444.89B, Lag: 68%
  17. JNJ, Johnson & Johnson, MC: 382.52B, Lag: 61%
  18. WBA, Walgreens Boots Alliance Inc., MC: 19.46B, Lag: 61%
  19. NKE, NIKE Inc., MC: 153.85B, Lag: 59%
  20. HD, The Home Depot Inc., MC: 351.29B, Lag: 57%
  1. WMT, Walmart Inc., MC: 444.89B, Band: HIGH
  2. DIS, The Walt Disney Company, MC: 176.18B, Band: HIGH
  3. MSFT, Microsoft Corporation, MC: 2954.92B, Band: HIGH
  4. IBM, International Business Machines Corporation, MC: 167.70B, Band: HIGH
  5. AMGN, Amgen Inc., MC: 168.19B, Band: HIGH
  6. MRK, Merck & Co. Inc., MC: 306.06B, Band: HIGH
  7. VZ, Verizon Communications Inc., MC: 178.04B, Band: HIGH
  8. PG, The Procter & Gamble Company, MC: 369.75B, Band: HIGH
  9. CRM, Salesforce Inc., MC: 272.10B, Band: HIGH
  10. JPM, JPMorgan Chase & Co., MC: 504.08B, Band: HIGH
  11. CAT, Caterpillar Inc., MC: 152.88B, Band: HIGH
  12. AXP, American Express Company, MC: 146.29B, Band: HIGH
  13. CSCO, Cisco Systems Inc., MC: 203.91B, Band: HIGH
  14. CVX, Chevron Corporation, MC: 277.47B, Band: HIGH
  15. TRV, The Travelers Companies Inc., MC: 48.27B, Band: MIDDLE
  16. HD, The Home Depot Inc., MC: 351.29B, Band: MIDDLE
  17. JNJ, Johnson & Johnson, MC: 382.52B, Band: MIDDLE
  18. UNH, UnitedHealth Group Incorporated, MC: 473.32B, Band: MIDDLE
  19. KO, The Coca-Cola Company, MC: 257.20B, Band: MIDDLE
  20. HON, Honeywell International Inc., MC: 133.34B, Band: MIDDLE
  1. WMT, Walmart Inc., MC: 444.89B, AroonUp: 100
  2. DIS, The Walt Disney Company, MC: 176.18B, AroonUp: 100
  3. MSFT, Microsoft Corporation, MC: 2954.92B, AroonUp: 100
  4. AMGN, Amgen Inc., MC: 168.19B, AroonUp: 100
  5. MRK, Merck & Co. Inc., MC: 306.06B, AroonUp: 100
  6. PG, The Procter & Gamble Company, MC: 369.75B, AroonUp: 100
  7. CRM, Salesforce Inc., MC: 272.10B, AroonUp: 100
  8. AXP, American Express Company, MC: 146.29B, AroonUp: 100
  9. IBM, International Business Machines Corporation, MC: 167.70B, AroonUp: 95
  10. VZ, Verizon Communications Inc., MC: 178.04B, AroonUp: 95
  11. JPM, JPMorgan Chase & Co., MC: 504.08B, AroonUp: 95
  12. CAT, Caterpillar Inc., MC: 152.88B, AroonUp: 95
  13. CSCO, Cisco Systems Inc., MC: 203.91B, AroonUp: 95
  14. MCD, McDonald's Corporation, MC: 212.32B, AroonUp: 85
  15. AAPL, Apple Inc, MC: 2851.17B, AroonUp: 85
  16. TRV, The Travelers Companies Inc., MC: 48.27B, AroonUp: 75
  17. GS, The Goldman Sachs Group Inc., MC: 125.23B, AroonUp: 75
  18. HD, The Home Depot Inc., MC: 351.29B, AroonUp: 70
  19. JNJ, Johnson & Johnson, MC: 382.52B, AroonUp: 50
  20. KO, The Coca-Cola Company, MC: 257.20B, AroonUp: 40
  1. CRM, Salesforce Inc., MC: 272.10B, Change1Y: 67.35%
  2. MSFT, Microsoft Corporation, MC: 2954.92B, Change1Y: 60.44%
  3. INTC, Intel Corporation, MC: 181.63B, Change1Y: 52.44%
  4. IBM, International Business Machines Corporation, MC: 167.70B, Change1Y: 36.32%
  5. AAPL, Apple Inc, MC: 2851.17B, Change1Y: 27.80%
  6. JPM, JPMorgan Chase & Co., MC: 504.08B, Change1Y: 24.58%
  7. AMGN, Amgen Inc., MC: 168.19B, Change1Y: 24.51%
  8. CAT, Caterpillar Inc., MC: 152.88B, Change1Y: 19.03%
  9. V, Visa Inc., MC: 548.66B, Change1Y: 18.70%
  10. WMT, Walmart Inc., MC: 444.89B, Change1Y: 14.86%
  11. AXP, American Express Company, MC: 146.29B, Change1Y: 14.75%
  12. MRK, Merck & Co. Inc., MC: 306.06B, Change1Y: 12.45%
  13. TRV, The Travelers Companies Inc., MC: 48.27B, Change1Y: 10.59%
  14. PG, The Procter & Gamble Company, MC: 369.75B, Change1Y: 10.37%
  15. MCD, McDonald's Corporation, MC: 212.32B, Change1Y: 9.47%
  16. HD, The Home Depot Inc., MC: 351.29B, Change1Y: 8.88%
  17. GS, The Goldman Sachs Group Inc., MC: 125.23B, Change1Y: 4.98%
  18. CSCO, Cisco Systems Inc., MC: 203.91B, Change1Y: 3.10%
  19. UNH, UnitedHealth Group Incorporated, MC: 473.32B, Change1Y: 2.51%
  20. VZ, Verizon Communications Inc., MC: 178.04B, Change1Y: 1.88%
Hourly Success Flow & 200 Days MovAvg Price to Earnings Dip & 50 Days MovAvg
  1. WMT, Walmart Inc., MC: 444.89B, Hr: 85%
  2. MSFT, Microsoft Corporation, MC: 2954.92B, Hr: 80%
  3. AMGN, Amgen Inc., MC: 168.19B, Hr: 80%
  4. MRK, Merck & Co. Inc., MC: 306.06B, Hr: 75%
  5. PG, The Procter & Gamble Company, MC: 369.75B, Hr: 75%
  6. JPM, JPMorgan Chase & Co., MC: 504.08B, Hr: 75%
  7. HON, Honeywell International Inc., MC: 133.34B, Hr: 75%
  8. NKE, NIKE Inc., MC: 153.85B, Hr: 75%
  9. AXP, American Express Company, MC: 146.29B, Hr: 70%
  10. CVX, Chevron Corporation, MC: 277.47B, Hr: 70%
  1. WMT, Walmart Inc., MC: 444.89B, 200DMA: 4.96%, Flow: 79.43, AvgDirect: 0
  2. PG, The Procter & Gamble Company, MC: 369.75B, 200DMA: 4.36%, Flow: 68.76, AvgDirect: 0
  3. MCD, McDonald's Corporation, MC: 212.32B, 200DMA: 3.16%, Flow: 53.61, AvgDirect: 0
  4. HON, Honeywell International Inc., MC: 133.34B, 200DMA: 3.69%, Flow: 55.89, AvgDirect: 0
  1. VZ, Verizon Communications Inc., MC: 178.04B, Chance: 70%, PE: 15.34
  1. GS, The Goldman Sachs Group Inc., MC: 125.23B, 50DMA: 4.24%, AroonDown: 70
  2. AXP, American Express Company, MC: 146.29B, 50DMA: 11.48%, AroonDown: 65
  3. CVX, Chevron Corporation, MC: 277.47B, 50DMA: 0.59%, AroonDown: 65
  4. CAT, Caterpillar Inc., MC: 152.88B, 50DMA: 8.03%, AroonDown: 60
  5. HON, Honeywell International Inc., MC: 133.34B, 50DMA: 0.74%, AroonDown: 60
  6. DOW, Dow Inc., MC: 37.59B, 50DMA: 2.17%, AroonDown: 60
  7. JPM, JPMorgan Chase & Co., MC: 504.08B, 50DMA: 5.76%, AroonDown: 55
  8. DIS, The Walt Disney Company, MC: 176.18B, 50DMA: 3.68%, AroonDown: 45
  9. CSCO, Cisco Systems Inc., MC: 203.91B, 50DMA: 0.76%, AroonDown: 35
  10. IBM, International Business Machines Corporation, MC: 167.70B, 50DMA: 11.69%, AroonDown: 30

After Hours Flow & 200 Days MovAvg Price to Earnings Dip & 50 Days MovAvg
  1. BA, The Boeing Company, MC: 127.67B, Premkt: 2.28%, AfterHr: -0.02%
  2. WMT, Walmart Inc., MC: 444.89B, Premkt: 1.40%, AfterHr: 0.41%
  3. AAPL, Apple Inc, MC: 2851.17B, Premkt: -0.59%, AfterHr: 0.49%
  4. UNH, UnitedHealth Group Incorporated, MC: 473.32B, Premkt: 0.47%, AfterHr: -0.38%
  5. JNJ, Johnson & Johnson, MC: 382.52B, Premkt: 0.46%, AfterHr: 0.04%
  6. AMGN, Amgen Inc., MC: 168.19B, Premkt: 0.44%, AfterHr: -
  7. MCD, McDonald's Corporation, MC: 212.32B, Premkt: 0.33%, AfterHr: -
  8. CRM, Salesforce Inc., MC: 272.10B, Premkt: -1.21%, AfterHr: 0.32%
  9. CSCO, Cisco Systems Inc., MC: 203.91B, Premkt: -0.10%, AfterHr: 0.28%
  10. WBA, Walgreens Boots Alliance Inc., MC: 19.46B, Premkt: 0.09%, AfterHr: 0.27%
  11. GS, The Goldman Sachs Group Inc., MC: 125.23B, Premkt: -0.38%, AfterHr: 0.26%
  12. DOW, Dow Inc., MC: 37.59B, Premkt: 0.24%, AfterHr: -
  13. MMM, 3M Company, MC: 52.11B, Premkt: 0.23%, AfterHr: 0.13%
  14. INTC, Intel Corporation, MC: 181.63B, Premkt: -0.96%, AfterHr: 0.21%
  15. HD, The Home Depot Inc., MC: 351.29B, Premkt: 0.20%, AfterHr: 0.05%
  16. PG, The Procter & Gamble Company, MC: 369.75B, Premkt: 0.18%, AfterHr: -
  17. HON, Honeywell International Inc., MC: 133.34B, Premkt: 0.17%, AfterHr: 0.12%
  18. NKE, NIKE Inc., MC: 153.85B, Premkt: -0.05%, AfterHr: 0.16%
  19. V, Visa Inc., MC: 548.66B, Premkt: -0.08%, AfterHr: 0.12%
  20. CAT, Caterpillar Inc., MC: 152.88B, Premkt: 0.05%, AfterHr: 0.08%
    EMPTY
    EMPTY
    EMPTY

NYSE RANKINGS


Portfolio Success Rate Relative Strength Index Previous Day
  1. TK, Teekay Corporation, MC: 817.63M, Chance: 90%
  2. RLI, RLI Corp., MC: 6.22B, 200DMA: 3.14%, Flow: 77.51, AvgDirect: 0
  3. TGH, Textainer Group Holdings Limited, MC: 2.05B, VolumeAvg: 100%
  4. POL, Polished.com Inc., MC: 11.03M, Flow: 97.97
  5. KAMN, Kaman Corporation, MC: 1.28B, RSI: 92.17
  6. OGEN, Oragenics Inc., MC: 7.09M, Premkt: -29.29%, AfterHr: 29.67%
  7. YRD, Yiren Digital Ltd., MC: 366.96M, Chance: 75%, PE: 1.44
  8. GWW, W.W. Grainger Inc., MC: 44.45B, Range: 95%, Change1D: -2.09%, Change1W: 2.80%
  9. BTG, B2Gold Corp., MC: 3.64B, HrChance: 95%
  10. SRFM, Surf Air Mobility Inc., MC: 87.62M, 50DMA: 13.17%, AroonDown: 100
  11. MIMO, Airspan Networks Holdings Inc., MC: 16.88M, Change1M: 146.60%
  12. AHT, Ashford Hospitality Trust Inc., MC: 57.29M, ChangeDay: 23.88%
  13. CATX, Perspective Therapeutics Inc., MC: 399.53M, Change1W: 65.76%
  14. ADCT, ADC Therapeutics SA, MC: 251.60M, Change3M: 376.43%
  15. MYO, Myomo Inc., MC: 88.30M, Change6M: 360.90%
  16. CVNA, Carvana Co., MC: 8.60B, Change1Y: 323.40%
  17. SQNS, Sequans Communications S.A., MC: 179.09M, AroonUp: 100
  18. DECK, Deckers Outdoor Corporation, MC: 19.39B, Band: HIGH
  19. SPOT, Spotify Technology S.A., MC: 40.90B, Lag: 100%
  20. AROC, Archrock Inc., MC: 2.55B, Strong Buy, Auditors: 4
  1. TK, Teekay Corporation, MC: 817.63M, Chance: 90%
  2. TGH, Textainer Group Holdings Limited, MC: 2.05B, Chance: 85%
  3. AYX, Alteryx Inc., MC: 3.43B, Chance: 80%
  4. RLI, RLI Corp., MC: 6.22B, Chance: 80%
  5. GWW, W.W. Grainger Inc., MC: 44.45B, Chance: 80%
  6. DECK, Deckers Outdoor Corporation, MC: 19.39B, Chance: 80%
  7. SQNS, Sequans Communications S.A., MC: 179.09M, Chance: 80%
  8. SPOT, Spotify Technology S.A., MC: 40.90B, Chance: 80%
  9. WRB, W. R. Berkley Corporation, MC: 21.01B, Chance: 80%
  10. WMT, Walmart Inc., MC: 444.89B, Chance: 80%
  11. MPU, Mega Matrix Corp., MC: 108.12M, Chance: 80%
  12. AROC, Archrock Inc., MC: 2.55B, Chance: 80%
  13. FI, Fiserv Inc., MC: 85.15B, Chance: 80%
  14. KNSL, Kinsale Capital Group Inc., MC: 9.21B, Chance: 80%
  15. ORAN, Orange S.A., MC: 31.71B, Chance: 80%
  16. KGS, Kodiak Gas Services Inc., MC: 1.81B, Chance: 80%
  17. HTGC, Hercules Capital Inc., MC: 2.62B, Chance: 75%
  18. ARL, American Realty Investors Inc., MC: 355.51M, Chance: 75%
  19. ANF, Abercrombie & Fitch Co., MC: 5.14B, Chance: 75%
  20. FEDU, Four Seasons Education (Cayman) Inc., MC: 20.66M, Chance: 75%
  1. KAMN, Kaman Corporation, MC: 1.28B, RSI: 92.17
  2. IBM, International Business Machines Corporation, MC: 167.70B, RSI: 89.24
  3. KMPR, Kemper Corporation, MC: 3.85B, RSI: 88.06
  4. KGS, Kodiak Gas Services Inc., MC: 1.81B, RSI: 86.81
  5. AGO, Assured Guaranty Ltd., MC: 4.65B, RSI: 86.55
  6. TK, Teekay Corporation, MC: 817.63M, RSI: 86.10
  7. BAH, Booz Allen Hamilton Holding Corporation, MC: 18.35B, RSI: 85.43
  8. IFS, Intercorp Financial Services Inc., MC: 2.71B, RSI: 85.39
  9. AYI, Acuity Brands Inc., MC: 7.34B, RSI: 84.92
  10. AZZ, AZZ Inc., MC: 1.57B, RSI: 84.36
  11. CANG, Cango Inc., MC: 157.60M, RSI: 84.25
  12. NLOP, Net Lease Office Properties, MC: 362.31M, RSI: 83.88
  13. AIRI, Air Industries Group, MC: 12.55M, RSI: 83.81
  14. ZDGE, Zedge Inc., MC: 46.80M, RSI: 83.65
  15. WEAV, Weave Communications Inc., MC: 869.54M, RSI: 83.27
  16. JNPR, Juniper Networks Inc., MC: 11.84B, RSI: 83.01
  17. HLT, Hilton Worldwide Holdings Inc., MC: 48.97B, RSI: 82.82
  18. BSIG, BrightSphere Investment Group Inc., MC: 918.16M, RSI: 82.72
  19. PGR, The Progressive Corporation, MC: 104.33B, RSI: 82.48
  20. EFXT, Enerflex Ltd., MC: 638.23M, RSI: 82.37
  1. AHT, Ashford Hospitality Trust Inc., MC: 57.29M, ChangeDay: 23.88%
  2. KUKE, Kuke Music Holding Limited, MC: 35.78M, ChangeDay: 16.83%
  3. ASH, Ashland Inc., MC: 4.76B, ChangeDay: 15.91%
  4. BURU, Nuburu Inc., MC: 5.89M, ChangeDay: 12.30%
  5. MIXT, MiX Telematics Limited, MC: 225.35M, ChangeDay: 11.65%
  6. NMR, Nomura Holdings Inc., MC: 17.30B, ChangeDay: 10.17%
  7. NOTE, FiscalNote Holdings Inc., MC: 161.16M, ChangeDay: 9.73%
  8. MWG, Multi Ways Holdings Ltd, MC: 35.13M, ChangeDay: 8.67%
  9. SPR, Spirit AeroSystems Holdings Inc., MC: 3.19B, ChangeDay: 8.62%
  10. JT, Jianpu Technology Inc., MC: 11.02M, ChangeDay: 8.32%
  11. CATX, Perspective Therapeutics Inc., MC: 399.53M, ChangeDay: 7.86%
  12. EVTL, Vertical Aerospace Ltd., MC: 154.21M, ChangeDay: 7.83%
  13. HKD, AMTD Digital Inc., MC: 767.70M, ChangeDay: 7.51%
  14. DM, Desktop Metal Inc., MC: 210.66M, ChangeDay: 7.13%
  15. TOVX, Theriva Biologics Inc., MC: 8.52M, ChangeDay: 6.74%
  16. PLAG, Planet Green Holdings Corp., MC: 28.76M, ChangeDay: 6.58%
  17. BARK, BARK Inc., MC: 184.66M, ChangeDay: 6.55%
  18. RNR, RenaissanceRe Holdings Ltd., MC: 12.01B, ChangeDay: 6.40%
  19. FOXO, FOXO Technologies Inc., MC: 2.76M, ChangeDay: 6.33%
  20. EW, Edwards Lifesciences Corporation, MC: 47.59B, ChangeDay: 6.18%

Percent Change 1 Week Percent Change 1 Month Percent Change 3 Months Percent Change 6 Months
  1. CATX, Perspective Therapeutics Inc., MC: 399.53M, Change1W: 65.76%
  2. ADCT, ADC Therapeutics SA, MC: 251.60M, Change1W: 58.81%
  3. AREN, The Arena Group Holdings Inc., MC: 36.47M, Change1W: 53.33%
  4. ZDGE, Zedge Inc., MC: 46.80M, Change1W: 39.91%
  5. TMQ, Trilogy Metals Inc., MC: 86.59M, Change1W: 35.57%
  6. SMR, NuScale Power Corporation, MC: 668.55M, Change1W: 27.31%
  7. MIMO, Airspan Networks Holdings Inc., MC: 16.88M, Change1W: 25.60%
  8. MWG, Multi Ways Holdings Ltd, MC: 35.13M, Change1W: 23.91%
  9. EVA, Enviva Inc., MC: 32.61M, Change1W: 23.40%
  10. ANVS, Annovis Bio Inc., MC: 113.40M, Change1W: 21.56%
  11. VLD, Velo3D Inc., MC: 66.78M, Change1W: 21.28%
  12. KNW, Know Labs Inc., MC: 39.40M, Change1W: 20.48%
  13. CGA, China Green Agriculture Inc., MC: 34.26M, Change1W: 20.18%
  14. BFX, BowFlex Inc., MC: 20.36M, Change1W: 20.11%
  15. QBTS, D-Wave Quantum Inc., MC: 95.86M, Change1W: 20.01%
  16. ASH, Ashland Inc., MC: 4.76B, Change1W: 19.49%
  17. BFH, Bread Financial Holdings Inc., MC: 1.79B, Change1W: 18.92%
  18. BODY, The Beachbody Company Inc., MC: 72.47M, Change1W: 18.23%
  19. ZGN, Ermenegildo Zegna N.V., MC: 3.05B, Change1W: 17.74%
  20. AHT, Ashford Hospitality Trust Inc., MC: 57.29M, Change1W: 17.73%
  1. MIMO, Airspan Networks Holdings Inc., MC: 16.88M, Change1M: 146.60%
  2. MPU, Mega Matrix Corp., MC: 108.12M, Change1M: 119.44%
  3. CATX, Perspective Therapeutics Inc., MC: 399.53M, Change1M: 101.87%
  4. ADCT, ADC Therapeutics SA, MC: 251.60M, Change1M: 97.34%
  5. KAMN, Kaman Corporation, MC: 1.28B, Change1M: 90.00%
  6. MWG, Multi Ways Holdings Ltd, MC: 35.13M, Change1M: 59.29%
  7. TPHS, Trinity Place Holdings Inc., MC: 6.69M, Change1M: 56.74%
  8. WYY, WidePoint Corporation, MC: 28.57M, Change1M: 52.00%
  9. TMQ, Trilogy Metals Inc., MC: 86.59M, Change1M: 43.34%
  10. VTAK, Catheter Precision Inc., MC: 3.37M, Change1M: 42.75%
  11. ZDGE, Zedge Inc., MC: 46.80M, Change1M: 39.32%
  12. NLOP, Net Lease Office Properties, MC: 362.31M, Change1M: 37.61%
  13. OSCR, Oscar Health Inc., MC: 2.39B, Change1M: 37.58%
  14. BARK, BARK Inc., MC: 184.66M, Change1M: 36.88%
  15. NEUE, NeueHealth Inc., MC: 130.51M, Change1M: 36.85%
  16. ZIM, ZIM Integrated Shipping Services Ltd., MC: 1.80B, Change1M: 34.05%
  17. TDCX, TDCX Inc., MC: 908.64M, Change1M: 32.09%
  18. SRL, Scully Royalty Ltd., MC: 119.47M, Change1M: 29.78%
  19. NMR, Nomura Holdings Inc., MC: 17.30B, Change1M: 28.70%
  20. MAIA, MAIA Biotechnology Inc., MC: 20.44M, Change1M: 28.57%
  1. ADCT, ADC Therapeutics SA, MC: 251.60M, Change3M: 376.43%
  2. MPU, Mega Matrix Corp., MC: 108.12M, Change3M: 339.62%
  3. POL, Polished.com Inc., MC: 11.03M, Change3M: 234.55%
  4. CATX, Perspective Therapeutics Inc., MC: 399.53M, Change3M: 212.70%
  5. MYO, Myomo Inc., MC: 88.30M, Change3M: 194.69%
  6. HOV, Hovnanian Enterprises Inc., MC: 1.03B, Change3M: 152.74%
  7. VNCE, Vince Holding Corp., MC: 41.76M, Change3M: 147.41%
  8. OSCR, Oscar Health Inc., MC: 2.39B, Change3M: 144.53%
  9. SUPV, Grupo Supervielle S.A., MC: 611.16M, Change3M: 144.13%
  10. UIS, Unisys Corporation, MC: 460.98M, Change3M: 142.45%
  11. KAMN, Kaman Corporation, MC: 1.28B, Change3M: 142.07%
  12. ML, MoneyLion Inc., MC: 474.10M, Change3M: 138.20%
  13. LDI, loanDepot Inc., MC: 902.20M, Change3M: 138.14%
  14. BLND, Blend Labs Inc., MC: 677.58M, Change3M: 133.47%
  15. CURV, Torrid Holdings Inc., MC: 537.17M, Change3M: 123.82%
  16. TGI, Triumph Group Inc., MC: 1.25B, Change3M: 117.16%
  17. INUV, Inuvo Inc., MC: 56.79M, Change3M: 115.14%
  18. SKYH, Sky Harbour Group Corporation, MC: 760.99M, Change3M: 111.81%
  19. FFWM, First Foundation Inc., MC: 537.57M, Change3M: 109.69%
  20. PHR, Phreesia Inc., MC: 1.42B, Change3M: 106.70%
  1. MYO, Myomo Inc., MC: 88.30M, Change6M: 360.90%
  2. ML, MoneyLion Inc., MC: 474.10M, Change6M: 219.15%
  3. SKYH, Sky Harbour Group Corporation, MC: 760.99M, Change6M: 190.48%
  4. MPTI, M-tron Industries Inc., MC: 84.83M, Change6M: 168.33%
  5. ANF, Abercrombie & Fitch Co., MC: 5.14B, Change6M: 157.26%
  6. USM, United States Cellular Corporation, MC: 3.77B, Change6M: 150.09%
  7. TDS, Telephone and Data Systems Inc., MC: 2.04B, Change6M: 139.90%
  8. KUKE, Kuke Music Holding Limited, MC: 35.78M, Change6M: 136.74%
  9. MPU, Mega Matrix Corp., MC: 108.12M, Change6M: 134.07%
  10. AMR, Alpha Metallurgical Resources Inc., MC: 5.30B, Change6M: 130.48%
  11. ADCT, ADC Therapeutics SA, MC: 251.60M, Change6M: 125.34%
  12. BHVN, Biohaven Pharmaceutical Holding Company Ltd., MC: 3.57B, Change6M: 123.32%
  13. VRT, Vertiv Holdings Co, MC: 21.49B, Change6M: 118.61%
  14. BLND, Blend Labs Inc., MC: 677.58M, Change6M: 114.02%
  15. UEC, Uranium Energy Corp., MC: 3.00B, Change6M: 110.28%
  16. UTI, Universal Technical Institute Inc., MC: 758.70M, Change6M: 97.67%
  17. BVN, Compania de Minas Buenaventura S.A., MC: 3.48B, Change6M: 97.47%
  18. KAMN, Kaman Corporation, MC: 1.28B, Change6M: 96.81%
  19. PTN, Palatin Technologies Inc., MC: 57.83M, Change6M: 96.73%
  20. CURV, Torrid Holdings Inc., MC: 537.17M, Change6M: 91.73%

Buyer Volume Expert Opinion Median Price Average Price
  1. POL, Polished.com Inc., MC: 11.03M, Flow: 97.97
  2. YCBD, cbdMD Inc., MC: 2.39M, Flow: 94.35
  3. CGA, China Green Agriculture Inc., MC: 34.26M, Flow: 92.11
  4. GETR, Getaround Inc., MC: 23.35M, Flow: 90.86
  5. SDHC, Smith Douglas Homes Corp., MC: 1.32B, Flow: 90.12
  6. MSN, Emerson Radio Corp., MC: 11.36M, Flow: 9.56
  7. SPH, Suburban Propane Partners L.P., MC: 1.27B, Flow: 89.01
  8. GLP, Global Partners LP, MC: 1.60B, Flow: 88.90
  9. SYNX, Silynxcom Ltd., MC: 15.48M, Flow: 88.29
  10. TPHS, Trinity Place Holdings Inc., MC: 6.69M, Flow: 87.15
  11. SGN, Signing Day Sports Inc., MC: 9.54M, Flow: 86.87
  12. IFS, Intercorp Financial Services Inc., MC: 2.71B, Flow: 86.22
  13. FIX, Comfort Systems USA Inc., MC: 7.77B, Flow: 85.19
  14. TK, Teekay Corporation, MC: 817.63M, Flow: 84.78
  15. NHC, National HealthCare Corporation, MC: 1.43B, Flow: 83.92
  16. AAMC, Altisource Asset Management Corporation, MC: 13.30M, Flow: 83.00
  17. MTBL, Moatable Inc., MC: 15.03M, Flow: 82.67
  18. YRD, Yiren Digital Ltd., MC: 366.96M, Flow: 82.32
  19. DBD, Diebold Nixdorf Incorporated, MC: 1.14B, Flow: 82.14
  20. SNDA, Sonida Senior Living Inc., MC: 73.19M, Flow: 81.64
  1. SQNS, Sequans Communications S.A., MC: 179.09M, Strong Buy, Auditors: 3
  2. AROC, Archrock Inc., MC: 2.55B, Strong Buy, Auditors: 4
  3. ORAN, Orange S.A., MC: 31.71B, Strong Buy, Auditors: 2
  4. KGS, Kodiak Gas Services Inc., MC: 1.81B, Strong Buy, Auditors: 7
  5. IFS, Intercorp Financial Services Inc., MC: 2.71B, Strong Buy, Auditors: 2
  6. WLKP, Westlake Chemical Partners LP, MC: 823.63M, Strong Buy, Auditors: 1
  7. BWXT, BWX Technologies Inc., MC: 7.46B, Strong Buy, Auditors: 7
  8. CACI, CACI International Inc, MC: 7.66B, Strong Buy, Auditors: 11
  9. MNR, Mach Natural Resources LP, MC: 1.70B, Strong Buy, Auditors: 2
  10. TNK, Teekay Tankers Ltd., MC: 2.13B, Strong Buy, Auditors: 2
  11. BSX, Boston Scientific Corporation, MC: 92.67B, Strong Buy, Auditors: 22
  12. SKYH, Sky Harbour Group Corporation, MC: 760.99M, Strong Buy, Auditors: 2
  13. INUV, Inuvo Inc., MC: 56.79M, Strong Buy, Auditors: 1
  14. INSW, International Seaways Inc., MC: 2.62B, Strong Buy, Auditors: 4
  15. ITT, ITT Inc., MC: 9.92B, Strong Buy, Auditors: 8
  16. ANET, Arista Networks Inc., MC: 80.48B, Strong Buy, Auditors: 20
  17. HAL, Halliburton Company, MC: 31.91B, Strong Buy, Auditors: 16
  18. NOW, ServiceNow Inc., MC: 156.91B, Strong Buy, Auditors: 34
  19. EPD, Enterprise Products Partners L.P., MC: 58.12B, Strong Buy, Auditors: 10
  20. ELV, Elevance Health Inc., MC: 115.94B, Strong Buy, Auditors: 13
  1. TK, Teekay Corporation, MC: 817.63M, Range: 95%, Change1D: -, Change1W: 6.15%
  2. GWW, W.W. Grainger Inc., MC: 44.45B, Range: 95%, Change1D: -2.09%, Change1W: 2.80%
  3. SQNS, Sequans Communications S.A., MC: 179.09M, Range: 95%, Change1D: -0.34%, Change1W: 3.16%
  4. SPOT, Spotify Technology S.A., MC: 40.90B, Range: 95%, Change1D: -1.04%, Change1W: 1.99%
  5. WMT, Walmart Inc., MC: 444.89B, Range: 95%, Change1D: -0.21%, Change1W: 2.96%
  6. AROC, Archrock Inc., MC: 2.55B, Range: 95%, Change1D: -2.62%, Change1W: 7.50%
  7. FI, Fiserv Inc., MC: 85.15B, Range: 95%, Change1D: -1.51%, Change1W: 1.65%
  8. ANF, Abercrombie & Fitch Co., MC: 5.14B, Range: 95%, Change1D: -3.59%, Change1W: -0.28%
  9. NLOP, Net Lease Office Properties, MC: 362.31M, Range: 95%, Change1D: -1.94%, Change1W: 2.76%
  10. IFS, Intercorp Financial Services Inc., MC: 2.71B, Range: 95%, Change1D: 0.30%, Change1W: 4.44%
  1. TK, Teekay Corporation, MC: 817.63M, VolumeAvg: 112%
  2. TGH, Textainer Group Holdings Limited, MC: 2.05B, VolumeAvg: 100%
  3. AYX, Alteryx Inc., MC: 3.43B, VolumeAvg: 101%
  4. RLI, RLI Corp., MC: 6.22B, VolumeAvg: 102%
  5. GWW, W.W. Grainger Inc., MC: 44.45B, VolumeAvg: 105%
  6. DECK, Deckers Outdoor Corporation, MC: 19.39B, VolumeAvg: 109%
  7. SQNS, Sequans Communications S.A., MC: 179.09M, VolumeAvg: 102%
  8. SPOT, Spotify Technology S.A., MC: 40.90B, VolumeAvg: 110%
  9. WRB, W. R. Berkley Corporation, MC: 21.01B, VolumeAvg: 109%
  10. WMT, Walmart Inc., MC: 444.89B, VolumeAvg: 104%
  11. MPU, Mega Matrix Corp., MC: 108.12M, VolumeAvg: 126%
  12. AROC, Archrock Inc., MC: 2.55B, VolumeAvg: 107%
  13. FI, Fiserv Inc., MC: 85.15B, VolumeAvg: 104%
  14. KNSL, Kinsale Capital Group Inc., MC: 9.21B, VolumeAvg: 108%
  15. ORAN, Orange S.A., MC: 31.71B, VolumeAvg: 102%
  16. KGS, Kodiak Gas Services Inc., MC: 1.81B, VolumeAvg: 112%
  17. HTGC, Hercules Capital Inc., MC: 2.62B, VolumeAvg: 104%
  18. ARL, American Realty Investors Inc., MC: 355.51M, VolumeAvg: 113%
  19. ANF, Abercrombie & Fitch Co., MC: 5.14B, VolumeAvg: 111%
  20. FEDU, Four Seasons Education (Cayman) Inc., MC: 20.66M, VolumeAvg: 112%

Laguerre Percentage Bollinger Bands Aroon Up Percent Change 1 Year
  1. TK, Teekay Corporation, MC: 817.63M, Lag: 100%
  2. GWW, W.W. Grainger Inc., MC: 44.45B, Lag: 100%
  3. DECK, Deckers Outdoor Corporation, MC: 19.39B, Lag: 100%
  4. SPOT, Spotify Technology S.A., MC: 40.90B, Lag: 100%
  5. AROC, Archrock Inc., MC: 2.55B, Lag: 100%
  6. FI, Fiserv Inc., MC: 85.15B, Lag: 100%
  7. KGS, Kodiak Gas Services Inc., MC: 1.81B, Lag: 100%
  8. HTGC, Hercules Capital Inc., MC: 2.62B, Lag: 100%
  9. NLOP, Net Lease Office Properties, MC: 362.31M, Lag: 100%
  10. YRD, Yiren Digital Ltd., MC: 366.96M, Lag: 100%
  11. WLYB, John Wiley & Sons Inc., MC: 1.88B, Lag: 100%
  12. WLKP, Westlake Chemical Partners LP, MC: 823.63M, Lag: 100%
  13. CANG, Cango Inc., MC: 157.60M, Lag: 100%
  14. BWXT, BWX Technologies Inc., MC: 7.46B, Lag: 100%
  15. WAB, Westinghouse Air Brake Technologies Corporation, MC: 23.57B, Lag: 100%
  16. NGL, NGL Energy Partners LP, MC: 766.50M, Lag: 100%
  17. MNR, Mach Natural Resources LP, MC: 1.70B, Lag: 100%
  18. ET, Energy Transfer LP, MC: 48.09B, Lag: 100%
  19. DIS, The Walt Disney Company, MC: 176.18B, Lag: 100%
  20. BK, The Bank of New York Mellon Corporation, MC: 42.11B, Lag: 100%
  1. TK, Teekay Corporation, MC: 817.63M, Band: HIGH
  2. GWW, W.W. Grainger Inc., MC: 44.45B, Band: HIGH
  3. DECK, Deckers Outdoor Corporation, MC: 19.39B, Band: HIGH
  4. SQNS, Sequans Communications S.A., MC: 179.09M, Band: HIGH
  5. SPOT, Spotify Technology S.A., MC: 40.90B, Band: HIGH
  6. WRB, W. R. Berkley Corporation, MC: 21.01B, Band: HIGH
  7. WMT, Walmart Inc., MC: 444.89B, Band: HIGH
  8. AROC, Archrock Inc., MC: 2.55B, Band: HIGH
  9. FI, Fiserv Inc., MC: 85.15B, Band: HIGH
  10. KGS, Kodiak Gas Services Inc., MC: 1.81B, Band: HIGH
  11. HTGC, Hercules Capital Inc., MC: 2.62B, Band: HIGH
  12. ANF, Abercrombie & Fitch Co., MC: 5.14B, Band: HIGH
  13. NLOP, Net Lease Office Properties, MC: 362.31M, Band: HIGH
  14. IFS, Intercorp Financial Services Inc., MC: 2.71B, Band: HIGH
  15. YRD, Yiren Digital Ltd., MC: 366.96M, Band: HIGH
  16. MPLX, MPLX LP, MC: 38.60B, Band: HIGH
  17. WLYB, John Wiley & Sons Inc., MC: 1.88B, Band: HIGH
  18. WLKP, Westlake Chemical Partners LP, MC: 823.63M, Band: HIGH
  19. CANG, Cango Inc., MC: 157.60M, Band: HIGH
  20. BWXT, BWX Technologies Inc., MC: 7.46B, Band: HIGH
  1. TK, Teekay Corporation, MC: 817.63M, AroonUp: 100
  2. GWW, W.W. Grainger Inc., MC: 44.45B, AroonUp: 100
  3. SQNS, Sequans Communications S.A., MC: 179.09M, AroonUp: 100
  4. SPOT, Spotify Technology S.A., MC: 40.90B, AroonUp: 100
  5. WMT, Walmart Inc., MC: 444.89B, AroonUp: 100
  6. AROC, Archrock Inc., MC: 2.55B, AroonUp: 100
  7. FI, Fiserv Inc., MC: 85.15B, AroonUp: 100
  8. ANF, Abercrombie & Fitch Co., MC: 5.14B, AroonUp: 100
  9. NLOP, Net Lease Office Properties, MC: 362.31M, AroonUp: 100
  10. IFS, Intercorp Financial Services Inc., MC: 2.71B, AroonUp: 100
  11. YRD, Yiren Digital Ltd., MC: 366.96M, AroonUp: 100
  12. MPLX, MPLX LP, MC: 38.60B, AroonUp: 100
  13. WLKP, Westlake Chemical Partners LP, MC: 823.63M, AroonUp: 100
  14. CANG, Cango Inc., MC: 157.60M, AroonUp: 100
  15. BWXT, BWX Technologies Inc., MC: 7.46B, AroonUp: 100
  16. WAB, Westinghouse Air Brake Technologies Corporation, MC: 23.57B, AroonUp: 100
  17. NGL, NGL Energy Partners LP, MC: 766.50M, AroonUp: 100
  18. MNR, Mach Natural Resources LP, MC: 1.70B, AroonUp: 100
  19. ET, Energy Transfer LP, MC: 48.09B, AroonUp: 100
  20. DIS, The Walt Disney Company, MC: 176.18B, AroonUp: 100
  1. MYO, Myomo Inc., MC: 88.30M, Change1Y: 589.16%
  2. CVNA, Carvana Co., MC: 8.60B, Change1Y: 323.40%
  3. VRT, Vertiv Holdings Co, MC: 21.49B, Change1Y: 299.86%
  4. NGL, NGL Energy Partners LP, MC: 766.50M, Change1Y: 261.96%
  5. ANF, Abercrombie & Fitch Co., MC: 5.14B, Change1Y: 251.87%
  6. OSCR, Oscar Health Inc., MC: 2.39B, Change1Y: 226.04%
  7. MPTI, M-tron Industries Inc., MC: 84.83M, Change1Y: 204.31%
  8. HOV, Hovnanian Enterprises Inc., MC: 1.03B, Change1Y: 203.39%
  9. MOD, Modine Manufacturing Company, MC: 3.61B, Change1Y: 190.60%
  10. ELF, e.l.f. Beauty Inc., MC: 8.81B, Change1Y: 177.31%
  11. DFH, Dream Finders Homes Inc., MC: 3.06B, Change1Y: 167.17%
  12. CLS, Celestica Inc., MC: 4.09B, Change1Y: 157.76%
  13. AMR, Alpha Metallurgical Resources Inc., MC: 5.30B, Change1Y: 148.08%
  14. HRTG, Heritage Insurance Holdings Inc., MC: 181.01M, Change1Y: 145.20%
  15. SKYH, Sky Harbour Group Corporation, MC: 760.99M, Change1Y: 144.00%
  16. WEAV, Weave Communications Inc., MC: 869.54M, Change1Y: 141.15%
  17. ARLO, Arlo Technologies Inc., MC: 840.30M, Change1Y: 136.80%
  18. KUKE, Kuke Music Holding Limited, MC: 35.78M, Change1Y: 136.74%
  19. BHVN, Biohaven Pharmaceutical Holding Company Ltd., MC: 3.57B, Change1Y: 132.56%
  20. IONQ, IonQ Inc., MC: 2.10B, Change1Y: 132.32%
Hourly Success Flow & 200 Days MovAvg Price to Earnings Dip & 50 Days MovAvg
  1. BTG, B2Gold Corp., MC: 3.64B, Hr: 95%
  2. PVL, Permianville Royalty Trust, MC: 55.44M, Hr: 90%
  3. FIX, Comfort Systems USA Inc., MC: 7.77B, Hr: 90%
  4. OC, Owens Corning, MC: 13.47B, Hr: 90%
  5. BBVA, Banco Bilbao Vizcaya Argentaria S.A., MC: 54.40B, Hr: 90%
  6. ENSV, Enservco Corporation, MC: 5.70M, Hr: 90%
  7. WMT, Walmart Inc., MC: 444.89B, Hr: 85%
  8. CAVA, CAVA Group Inc., MC: 5.32B, Hr: 85%
  9. DINO, HF Sinclair Corporation, MC: 12.40B, Hr: 85%
  10. CHD, Church & Dwight Co. Inc., MC: 24.60B, Hr: 85%
  1. RLI, RLI Corp., MC: 6.22B, 200DMA: 3.14%, Flow: 77.51, AvgDirect: 0
  2. WMT, Walmart Inc., MC: 444.89B, 200DMA: 4.96%, Flow: 79.43, AvgDirect: 0
  3. KNSL, Kinsale Capital Group Inc., MC: 9.21B, 200DMA: 8.73%, Flow: 70.46, AvgDirect: 2
  4. MPLX, MPLX LP, MC: 38.60B, 200DMA: 9.32%, Flow: 73.71, AvgDirect: 0
  5. WLKP, Westlake Chemical Partners LP, MC: 823.63M, 200DMA: 5.83%, Flow: 61.77, AvgDirect: 0
  6. CACI, CACI International Inc, MC: 7.66B, 200DMA: 6.56%, Flow: 72.28, AvgDirect: 1
  7. ET, Energy Transfer LP, MC: 48.09B, 200DMA: 7.59%, Flow: 75.34, AvgDirect: 0
  8. AJG, Arthur J. Gallagher & Co., MC: 50.12B, 200DMA: 3.13%, Flow: 67.23, AvgDirect: 1
  9. ONTF, ON24 Inc., MC: 317.48M, 200DMA: 1.09%, Flow: 67.61, AvgDirect: 0
  10. EPD, Enterprise Products Partners L.P., MC: 58.12B, 200DMA: 0.78%, Flow: 73.11, AvgDirect: 0
  11. MSI, Motorola Solutions Inc., MC: 53.03B, 200DMA: 9.67%, Flow: 67.27, AvgDirect: 1
  12. MMC, Marsh & McLennan Companies Inc., MC: 95.58B, 200DMA: 2.56%, Flow: 65.62, AvgDirect: 1
  13. PG, The Procter & Gamble Company, MC: 369.75B, 200DMA: 4.36%, Flow: 68.76, AvgDirect: 0
  14. GL, Globe Life Inc., MC: 11.65B, 200DMA: 9.95%, Flow: 65.63, AvgDirect: 0
  15. EURN, Euronav NV, MC: 3.56B, 200DMA: 4.36%, Flow: 57.96, AvgDirect: 0
  16. CVI, CVR Energy Inc., MC: 3.39B, 200DMA: 9.10%, Flow: 69.68, AvgDirect: 0
  17. CQP, Cheniere Energy Partners L.P., MC: 25.62B, 200DMA: 3.53%, Flow: 66.61, AvgDirect: 0
  18. CHH, Choice Hotels International Inc., MC: 6.03B, 200DMA: 1.10%, Flow: 66.75, AvgDirect: 0
  19. ATR, AptarGroup Inc., MC: 8.54B, 200DMA: 7.86%, Flow: 56.67, AvgDirect: 0
  20. AME, AMETEK Inc., MC: 37.40B, 200DMA: 8.22%, Flow: 61.56, AvgDirect: 1
  1. YRD, Yiren Digital Ltd., MC: 366.96M, Chance: 75%, PE: 1.44
  2. GOL, Gol Linhas AĆ©reas Inteligentes S.A., MC: 6.97B, Chance: 65%, PE: 1.62
  3. PBF, PBF Energy Inc., MC: 6.17B, Chance: 65%, PE: 2.33
  4. PVL, Permianville Royalty Trust, MC: 55.44M, Chance: 65%, PE: 2.37
  5. DAC, Danaos Corporation, MC: 1.49B, Chance: 70%, PE: 2.70
  6. UAN, CVR Partners LP, MC: 759.00M, Chance: 65%, PE: 2.96
  7. TNK, Teekay Tankers Ltd., MC: 2.13B, Chance: 75%, PE: 3.93
  8. MNR, Mach Natural Resources LP, MC: 1.70B, Chance: 75%, PE: 3.97
  9. DLNG, Dynagas LNG Partners LP, MC: 100.84M, Chance: 65%, PE: 4.05
  10. VVV, Valvoline Inc., MC: 4.74B, Chance: 65%, PE: 4.18
  11. CVI, CVR Energy Inc., MC: 3.39B, Chance: 70%, PE: 4.30
  12. BNRE, Brookfield Reinsurance Ltd., MC: 4.44B, Chance: 70%, PE: 4.39
  13. SCX, The L.S. Starrett Company, MC: 99.76M, Chance: 65%, PE: 4.52
  14. PSBD, Palmer Square Capital BDC Inc., MC: 532.24M, Chance: 63%, PE: 4.74
  15. DINO, HF Sinclair Corporation, MC: 12.40B, Chance: 65%, PE: 4.92
  16. TCI, Transcontinental Realty Investors Inc., MC: 343.24M, Chance: 65%, PE: 5.09
  17. EURN, Euronav NV, MC: 3.56B, Chance: 70%, PE: 5.19
  18. WDS, Woodside Energy Group Ltd, MC: 39.60B, Chance: 65%, PE: 5.71
  19. TK, Teekay Corporation, MC: 817.63M, Chance: 90%, PE: 5.99
  20. MPC, Marathon Petroleum Corporation, MC: 62.88B, Chance: 65%, PE: 6.19
  1. SRFM, Surf Air Mobility Inc., MC: 87.62M, 50DMA: 13.17%, AroonDown: 100
  2. AXR, AMREP Corporation, MC: 107.43M, 50DMA: 6.04%, AroonDown: 100
  3. CR, Crane Company, MC: 7.05B, 50DMA: 10.76%, AroonDown: 100
  4. CUK, Carnival Corporation & plc, MC: 20.79B, 50DMA: 1.22%, AroonDown: 100
  5. EQC, Equity Commonwealth, MC: 2.04B, 50DMA: 0.45%, AroonDown: 95
  6. UP, Wheels Up Experience Inc., MC: 2.31B, 50DMA: 15.05%, AroonDown: 95
  7. AIRC, Apartment Income REIT Corp., MC: 4.81B, 50DMA: 0.13%, AroonDown: 95
  8. EQR, Equity Residential, MC: 22.86B, 50DMA: 2.01%, AroonDown: 95
  9. ESS, Essex Property Trust Inc., MC: 14.97B, 50DMA: 0.06%, AroonDown: 95
  10. UDR, UDR Inc., MC: 11.85B, 50DMA: 1.09%, AroonDown: 95

After Hours Flow & 200 Days MovAvg Price to Earnings Dip & 50 Days MovAvg
  1. OGEN, Oragenics Inc., MC: 7.09M, Premkt: -29.29%, AfterHr: 29.67%
  2. AHT, Ashford Hospitality Trust Inc., MC: 57.29M, Premkt: 23.13%, AfterHr: -
  3. HSHP, Himalaya Shipping Ltd., MC: 301.34M, Premkt: 17.07%, AfterHr: -
  4. BQ, Boqii Holding Limited, MC: 2.23M, Premkt: 11.24%, AfterHr: -8.81%
  5. MWG, Multi Ways Holdings Ltd, MC: 35.13M, Premkt: 11.22%, AfterHr: 2.69%
  6. AZTR, Azitra Inc., MC: 14.52M, Premkt: 10.57%, AfterHr: -3.23%
  7. SGN, Signing Day Sports Inc., MC: 9.54M, Premkt: -2.64%, AfterHr: 9.99%
  8. PTN, Palatin Technologies Inc., MC: 57.83M, Premkt: 4.92%, AfterHr: 9.98%
  9. JT, Jianpu Technology Inc., MC: 11.02M, Premkt: 9.64%, AfterHr: -2.44%
  10. DDC, DDC Enterprise Limited, MC: 57.14M, Premkt: 9.38%, AfterHr: -0.99%
  11. ASH, Ashland Inc., MC: 4.76B, Premkt: 8.95%, AfterHr: -
  12. KUKE, Kuke Music Holding Limited, MC: 35.78M, Premkt: 8.91%, AfterHr: -4.24%
  13. SRFM, Surf Air Mobility Inc., MC: 87.62M, Premkt: 8.85%, AfterHr: -
  14. OCFT, OneConnect Financial Technology Co. Ltd., MC: 97.91M, Premkt: 8.80%, AfterHr: -
  15. SGE, Strong Global Entertainment Inc., MC: 8.90M, Premkt: 8.70%, AfterHr: -
  16. MRDB, MariaDB plc, MC: 11.79M, Premkt: 7.57%, AfterHr: -
  17. ENSV, Enservco Corporation, MC: 5.70M, Premkt: 7.29%, AfterHr: -
  18. VATE, INNOVATE Corp., MC: 71.63M, Premkt: 7.22%, AfterHr: -
  19. GORO, Gold Resource Corporation, MC: 20.90M, Premkt: 2.66%, AfterHr: 7.09%
  20. ITRG, Integra Resources Corp., MC: 58.46M, Premkt: 6.70%, AfterHr: -0.13%
    EMPTY
    EMPTY
    EMPTY