TickerGuard
Buy Day today: Neutral (60) Mixed market breadth · no major macro event

Market Screener

Filter stocks by sector, industry, market cap, valuation, growth, and technicals — in a dense table layout.

Reset filters
Descriptive
Fundamental
Technical
Scanner
A compact market overview — not investment advice. Source: fundamental data & SEC filings (annual and quarterly reports, 10-K/10-Q).
No. Ticker Company Sector Industry Country Market Cap (B) ▼ P/E Price Chg. % Volume
1901 ALGT Allegiant Travel Company Industrials Airlines US 2.2 $ 81.70 $ +1.50% 875,603
1902 LTC LTC Properties Inc Real Estate REIT - Healthcare Facilities US 2.2 $ 16.62 42.40 $ -1.10% 261,301
1903 WHR Whirlpool Corporation Consumer Cyclical Furnishings, Fixtures & Applianc... US 2.2 $ 33.60 $ +2.80% 2,265,909
1904 RXRX Recursion Pharmaceuticals Inc Healthcare Biotechnology US 2.2 $ 4.10 $ +2.00% 15,484,148
1905 RUN Sunrun Inc Technology Solar US 2.2 $ 4.13 8.80 $ 0.00% 17,091,223
1906 SKWD Skyward Specialty Insurance Group, Inc. Financial Services Insurance - Property & Casualty US 2.2 $ 14.46 55.90 $ -0.70% 739,443
1907 RLX RLX Technology Inc Consumer Defensive Tobacco US 2.2 $ 16.20 1.80 $ +1.70% 1,732,927
1908 PLPC Preformed Line Products Company Industrials Electrical Equipment & Parts US 2.2 $ 425.20 $ +0.90% 130,796
1909 MPT Medical Properties Trust, Inc. Real Estate REIT - Healthcare Facilities US 2.2 $ 3.60 $ -0.30% 8,143,673
1910 PLGO Pelagos Insurance Capital Ltd Financial Services Insurance - Diversified US 2.2 $ 6.64 23.60 $ -0.50% 211,114
1911 FIGS FIGS, Inc. Consumer Cyclical Apparel Manufacturing US 2.2 $ 59.48 13.00 $ -1.40% 2,080,551
1912 PTON Peloton Interactive Inc Consumer Cyclical Leisure US 2.2 $ 5.00 $ +1.40% 6,919,212
1913 PENN Penn National Gaming Inc Consumer Cyclical Resorts & Casinos US 2.2 $ 15.90 $ -1.40% 3,762,622
1914 CENTA Central Garden & Pet Company A Consumer Defensive Packaged Foods US 2.2 $ 34.70 $ +0.40% 322,943
1915 EFSC Enterprise Financial Services Financial Services Banks - Regional US 2.2 $ 60.40 $ -1.00% 226,793
1916 NCNO nCino Inc Technology Software - Application US 2.2 $ 165.00 19.70 $ -3.70% 3,853,300
1917 RVT Royce Value Closed Fund Financial Services Asset Management US 2.2 $ 6.05 17.60 $ 0.00% 146,999
1918 ZBIO Zenas BioPharma, Inc. Healthcare Biotechnology US 2.2 $ 33.10 $ +1.50% 1,590,410
1919 FLOC Flowco Holdings Inc. Energy Oil & Gas Equipment & Services US 2.2 $ 16.07 19.10 $ -4.00% 355,980
1920 BVC BitVentures Limited Technology Software - Application US 2.2 $ 7.94 12.80 $ 0.00% 73,987
1921 CNXN PC Connection Inc Technology Electronics & Computer Distribut... US 2.1 $ 86.80 $ +1.10% 187,326
1922 STUB StubHub Holdings, Inc. Communication Services Internet Content & Information US 2.1 $ 5.70 $ -3.50% 6,143,900
1923 DEI Douglas Emmett Inc Real Estate REIT - Office US 2.1 $ 10.40 $ -0.40% 1,843,908
1924 MD Pediatrix Medical Group, Inc. Healthcare Medical Care Facilities US 2.1 $ 13.22 26.40 $ +2.30% 569,022
1925 PRLB Proto Labs Inc Industrials Metal Fabrication US 2.1 $ 89.50 $ +2.00% 136,451
1926 ASAN Asana Inc Technology Software - Application US 2.1 $ 9.10 $ -4.80% 4,800,587
1927 ADUS Addus HomeCare Corporation Healthcare Medical Care Facilities US 2.1 $ 21.58 114.20 $ -1.00% 164,565
1928 KOD Kodiak Sciences Inc Healthcare Biotechnology US 2.1 $ 33.80 $ +4.30% 1,021,084
1929 UWMC UWM Holdings Corp Financial Services Mortgage Finance US 2.1 $ 4.13 1.30 $ 0.00% 23,157,312
1930 TH Target Hospitality Corp. Industrials Specialty Business Services US 2.1 $ 21.20 $ -0.40% 582,938
1931 LCII LCI Industries Consumer Cyclical Recreational Vehicles US 2.1 $ 10.85 87.90 $ +1.10% 265,925
1932 PEB Pebblebrook Hotel Trust Real Estate REIT - Hotel & Motel US 2.1 $ 18.30 $ +0.20% 2,161,675
1933 ECPG Encore Capital Group Inc Financial Services Credit Services US 2.1 $ 7.13 98.30 $ -1.10% 606,051
1934 FCF First Commonwealth Financial Corporation Financial Services Banks - Regional US 2.1 $ 13.68 20.70 $ -1.40% 546,950
1935 SHO Sunstone Hotel Investors Inc Real Estate REIT - Hotel & Motel US 2.1 $ 11.10 $ 0.00% 4,017,414
1936 TBBK The Bancorp Inc Financial Services Banks - Regional US 2.1 $ 50.60 $ +0.60% 347,255
1937 PLBL Polibeli Group Ltd Consumer Cyclical Department Stores US 2.1 $ 5.80 $ -8.90% 109,030
1938 AUPH Aurinia Pharmaceuticals Inc Healthcare Biotechnology US 2.1 $ 7.94 16.70 $ +0.40% 2,146,915
1939 FLYW Flywire Corp Technology Software - Infrastructure US 2.1 $ 17.20 $ +0.70% 5,045,412
1940 ESTA Establishment Labs Holdings Inc Healthcare Medical Devices US 2.1 $ 70.20 $ +3.70% 444,745
1941 ZD Ziff Davis Inc Communication Services Advertising Agencies US 2.1 $ 58.20 $ +1.30% 606,268
1942 MCRI Monarch Casino & Resort Inc Consumer Cyclical Resorts & Casinos US 2.1 $ 20.45 117.20 $ -2.20% 110,429
1943 STDN Standard Nuclear, Inc. Basic Materials Specialty Chemicals US 2.1 $ 13.00 $ -3.60% 1,744,673
1944 MTX Minerals Technologies Inc Basic Materials Specialty Chemicals US 2.1 $ 13.37 67.30 $ +1.00% 282,734
1945 WERN Werner Enterprises Inc Industrials Trucking US 2.1 $ 34.80 $ -0.60% 1,000,841
1946 NN Nextnav Acquisition Corp Technology Software - Infrastructure US 2.1 $ 15.30 $ -2.10% 2,142,721
1947 CCU Compania Cervecerias Unidas SA Consumer Defensive Beverages - Brewers US 2.1 $ 18.36 11.20 $ +0.60% 104,773
1948 SGRY Surgery Partners Inc Healthcare Medical Care Facilities US 2.1 $ 15.80 $ +15.70% 1,126,213
1949 HYMC Hycroft Mining Holding Corporation Basic Materials Gold US 2.1 $ 22.70 $ +10.50% 1,834,421
1950 BLX Foreign Trade Bank of Latin America, Inc... Financial Services Banks - Regional US 2.1 $ 9.22 55.60 $ +1.40% 134,748
1951 VCEL Vericel Corp Ord Healthcare Biotechnology US 2.1 $ 40.20 $ +1.70% 546,196
1952 SAH Sonic Automotive Inc Consumer Cyclical Auto & Truck Dealerships US 2.1 $ 20.70 65.30 $ -0.90% 187,399
1953 NKTR Nektar Therapeutics Healthcare Biotechnology US 2.1 $ 61.00 $ -8.80% 325,900
1954 BSTZ BlackRock Science and Technology Trust I... Financial Services Asset Management US 2.1 $ 6.43 29.90 $ +1.60% 113,657
1955 URGN UroGen Pharma Ltd Healthcare Biotechnology US 2.1 $ 42.80 $ -1.00% 384,900
1956 AGIO Agios Pharmaceuticals, Inc. Healthcare Biotechnology US 2.1 $ 35.00 $ +3.00% 762,077
1957 QUBT Quantum Computing Inc Technology Computer Hardware US 2.1 $ 9.10 $ +1.30% 14,608,931
1958 VNET VNET Group Inc DRC Technology Information Technology Services US 2.1 $ 7.20 $ -1.20% 2,532,535
1959 SEM Select Medical Holdings Healthcare Medical Care Facilities US 2.1 $ 16.60 $ -0.10% 7,909,744
1960 SPB Spectrum Brands Holdings Inc Consumer Defensive Household & Personal Products US 2.1 $ 17.45 88.00 $ +3.30% 205,669
1961 INSP Inspire Medical Systems Inc Healthcare Medical Devices US 2.1 $ 17.33 71.30 $ -5.80% 991,410
1962 DV DoubleVerify Holdings Inc Communication Services Advertising Agencies US 2.0 $ 42.11 13.40 $ -0.30% 2,039,569
1963 CEPU Central Puerto S.A. Utilities Utilities - Regulated Electric US 2.0 $ 6.77 13.60 $ +1.30% 435,014
1964 TIC Acuren Corporation Industrials Specialty Business Services US 2.0 $ 9.20 $ -0.10% 1,332,403
1965 ICHR Ichor Holdings Ltd Technology Semiconductor Equipment & Materi... US 2.0 $ 57.40 $ +2.30% 1,104,358
1966 NUVB Nuvation Bio Inc Healthcare Biotechnology US 2.0 $ 6.10 $ +0.50% 24,825,400
1967 STGW Stagwell Inc Communication Services Advertising Agencies US 2.0 $ 8.50 $ +1.90% 1,367,948
1968 KSS Kohl's Corporation Consumer Cyclical Department Stores US 2.0 $ 7.66 18.30 $ +4.80% 1,699,639
1969 PGNY Progyny Inc Healthcare Healthcare Plans US 2.0 $ 36.12 26.20 $ -2.30% 760,570
1970 PDFS PDF Solutions Inc Technology Software - Application US 2.0 $ 276.69 48.40 $ +3.70% 378,263
1971 ALG Alamo Group Inc Industrials Farm & Heavy Construction Machin... US 2.0 $ 19.99 165.50 $ +0.40% 96,143
1972 SRCE 1st Source Corporation Financial Services Banks - Regional US 2.0 $ 13.18 85.40 $ -0.50% 161,235
1973 ARI Apollo Commercial Real Estate Finance, I... Real Estate REIT - Mortgage US 2.0 $ 18.80 6.40 $ -0.30% 3,894,962
1974 MFP Midera Food Processing Inc Industrials Specialty Industrial Machinery US 2.0 $ 63.79 44.70 $ -0.80% 766,724
1975 SONO Sonos Inc Technology Consumer Electronics US 2.0 $ 16.90 $ +3.00% 2,108,933
1976 CTRI Centuri Holdings, Inc. Utilities Utilities - Regulated Gas US 2.0 $ 20.00 $ -1.50% 1,881,338
1977 UAA Under Armour Inc A Consumer Cyclical Apparel Manufacturing US 2.0 $ 4.70 $ -0.60% 8,042,822
1978 NWN Northwest Natural Gas Co Utilities Utilities - Regulated Gas US 2.0 $ 47.80 $ -0.60% 179,451
1979 VOYG Voyager Technologies, Inc. Industrials Aerospace & Defense US 2.0 $ 37.50 $ -0.30% 1,943,575
1980 PRGO Perrigo Company PLC Healthcare Drug Manufacturers - Specialty &... US 2.0 $ 14.30 $ +1.30% 2,655,698
1981 DRVN Driven Brands Holdings Inc Consumer Cyclical Auto & Truck Dealerships US 2.0 $ 14.26 12.30 $ +1.30% 584,299
1982 TILE Interface Inc Consumer Cyclical Furnishings, Fixtures & Applianc... US 2.0 $ 16.28 35.20 $ +2.90% 211,931
1983 CMPS Compass Pathways Plc Healthcare Medical Care Facilities US 2.0 $ 14.80 $ -1.50% 3,385,551
1984 HUBG Hub Group Inc Industrials Integrated Freight & Logistics US 2.0 $ 18.38 32.10 $ +1.20% 636,000
1985 GRC Gorman-Rupp Company Industrials Specialty Industrial Machinery US 2.0 $ 32.71 74.60 $ +1.10% 174,769
1986 BOBS Bob's Discount Furniture, Inc. Consumer Cyclical Specialty Retail US 2.0 $ 14.96 15.30 $ +5.90% 1,929,098
1987 XRAY Dentsply Sirona Inc Healthcare Medical Instruments & Supplies US 2.0 $ 10.00 $ +5.40% 3,815,753
1988 STEL Stellar Bancorp, Inc. Financial Services Banks - Regional US 2.0 $ 39.20 $ +0.60% 849,528
1989 ZYME Zymeworks Inc. Healthcare Biotechnology US 2.0 $ 27.60 $ +2.80% 835,700
1990 KARO Karooooo Ltd Technology Software - Application US 2.0 $ 31.33 63.60 $ -2.80% 71,526
1991 PRDO Perdoceo Education Corp Consumer Defensive Education & Training Services US 2.0 $ 31.20 $ -3.40% 484,805
1992 ALVO Alvotech Healthcare Drug Manufacturers - Specialty &... US 2.0 $ 5.80 $ -0.70% 772,500
1993 UA Under Armour Inc C Consumer Cyclical Apparel Manufacturing US 2.0 $ 4.60 $ -1.10% 3,138,620
1994 BXDC Blackstone Digital Infrastructure Trust... Real Estate REIT - Specialty US 2.0 $ 19.50 $ +1.20% 426,171
1995 WU Western Union Co Financial Services Credit Services US 2.0 $ 4.80 6.20 $ +0.30% 4,970,761
1996 INVX Innovex International, Inc Energy Oil & Gas Equipment & Services US 2.0 $ 34.03 28.00 $ +2.30% 303,595
1997 RAPP Rapport Therapeutics, Inc. Healthcare Biotechnology US 2.0 $ 41.50 $ +4.60% 410,185
1998 CHCO City Holding Company Financial Services Banks - Regional US 2.0 $ 139.60 $ -0.50% 136,953
1999 WRD WeRide Inc. Technology Software - Application US 2.0 $ 5.90 $ +2.80% 1,932,500
2000 DHC Diversified Healthcare Trust Real Estate REIT - Healthcare Facilities US 1.9 $ 8.20 $ +0.60% 1,513,998

A compact market overview — not investment advice. Source: fundamental data & SEC filings (annual and quarterly reports, 10-K/10-Q).

Was this page helpful to you?