Stock Scanners
Every strategy scanner from our editorial team: proven methods from Weinstein to O'Neil, recalculated daily across our stock universe.
Source: fundamental data & SEC filings (annual and quarterly reports, 10-K/10-Q)
Live All scanners are live and recalculated daily.
Takes you straight to the stock page — where you'll also see which scanners the stock currently passes.
160 scanners live
Best Hits
8 scanners liveGrowth
18 scanners liveQuality & Balance Sheet
18 scanners liveAktien.Guide
11 scanners liveBreakout & Setup
25 scanners liveValuation & Metrics
5 scanners liveDividends
4 scanners liveEarnings & Surprises
3 scanners liveMomentum & Trend
37 scanners liveResearch
2 scanners liveRisk & Weakness
19 scanners liveValue & GARP
10 scanners live| Scanner | Category | Description | Hits | Status |
|---|---|---|---|---|
| Bankruptcy Study: The Sharpest Three-Signal Combination ⚠ | Best Hits | The sharpest signal combination in our analysis of 792 U.S. bankruptcies — and also the rarest. The company ha... | 3 | Live |
| Best of All | Best Hits | Collects stocks that had positive free cash flow in the most recent quarter AND whose revenue and EPS (earning... | 6 | Live |
| Best of Short ⚠ | Best Hits | The dark mirror image of Best of All: only stocks that trigger ALL four warning signals at once make this list... | 0 | Live |
| Green Light | Best Hits | Every stock whose latest Minnow Street analysis confirms the quality of the company — a green rating light: bu... | 30 | Live |
| Minnow Street Favorites | Best Hits | The combination of hard growth criteria and an in-depth look at the company: quarterly EPS (earnings per share... | 0 | Live |
| Quality & Growth | Best Hits | The quality list, filtered by pace: stocks with confirmed quality (green light in the latest Minnow Street ana... | 12 | Live |
| Quality & Uptrend | Best Hits | The quality list, filtered by the chart: stocks with confirmed quality (green light in the latest Minnow Stree... | 11 | Live |
| Quality & Value | Best Hits | The quality list, filtered by the price question: stocks whose latest Minnow Street analysis confirms the qual... | 7 | Live |
| Ben Bennett: Focus List | Growth | Ben Bennett's Focus List: quality growth stocks in strong industries. The industry ranks in the top 40 by 12-m... | 41 | Live |
| Ben Bennett: Power Screen | Growth | Ben Bennett's Power Screen looks for accumulation in strength: up/down volume ratio (50 days) above 1.2 (more... | 80 | Live |
| Dan Zanger: Leader | Growth | Zanger's real strategy (not the widely circulated 'Liquid High Beta' variant). He buys institutional market le... | 16 | Live |
| EPS & Revenue Power | Growth | Quarterly EPS (earnings per share) ≥ 30% and quarterly revenue ≥ 30% with an EPS Rating ≥ 85 — combined earnin... | 37 | Live |
| EPS Acceleration | Growth | Real acceleration: EPS growth (earnings per share, YoY) in the most recent quarter higher than in the prior qu... | 388 | Live |
| High Revenue Growth | Growth | Consistently high revenue growth: in each of the last 6 quarters, revenue was at least 20% above the same quar... | 83 | Live |
| Jim Roppel: 20/20 Screen | Growth | Roppel's '20/20' looks for the 'elite of the elite' — market leaders with ≥20% growth in revenue, earnings, RO... | 1 | Live |
| Joshua | Growth | Joshua's growth scanner — motto: "let your winners run, cut your losers." A hard precondition is the price tre... | 102 | Live |
| Martin Zweig: Growth with Reason | Growth | Zweig's approach from 'Winning on Wall Street': strong, accelerating earnings growth confirmed by revenue — bu... | 72 | Live |
| Matt Caruso: Sales Leader | Growth | Matt Caruso's sales screen: 12-month relative strength above 75, revenue growth in the latest quarter above 40... | 25 | Live |
| Patrick Walker: 30% EPS Growth | Growth | Patrick Walker's growth momentum screen (replicated in our in-house stock scanner). Group 1 (ALL conditions):... | 41 | Live |
| Patrick Walker: 40, 40 Screen | Growth | Walker's 'Great Earnings OR Great Sales' screen (Mission Winners): quarterly EPS ≥ +40% OR average revenue gro... | 96 | Live |
| Quality Growth | Growth | Quarterly revenue growth ≥ 15% and EPS rating (earnings per share) ≥ 70 — solid growth with a good earnings ra... | 204 | Live |
| Small Caps with Growth | Growth | Small-cap stocks with combined earnings and revenue strength: quarterly EPS (earnings per share) ≥ 30% and qua... | 5 | Live |
| Ted Zhang: Super Stock Universe | Growth | Zhang's 'Magic Elixir' universe: very liquid (average dollar volume ≥ $50M), volatile (average daily range ≥ 2... | 87 | Live |
| Thomas' Favorites | Growth | Thomas' personal favorite combination: (1) big growth — quarterly earnings per share (EPS) ≥ 25% AND quarterly... | 9 | Live |
| Triple-Digit Revenue Growth | Growth | Looks for companies with exploding revenue: revenue in the most recent quarter is at least 100% higher than ab... | 21 | Live |
| William O'Neil (CAN SLIM) | Growth | O'Neil's CAN SLIM criteria ('How to Make Money in Stocks'), quantitative core: quarterly EPS and revenue each... | 13 | Live |
| Altman Z: Balance Sheet Fortress | Quality & Balance Sheet | The mirror image of the Distress Radar: Altman Z″ in the safe zone (≥ 2.6) in EVERY available quarter, plus a... | 144 | Live |
| Buffett Criteria (Buffettology) | Quality & Balance Sheet | The screenable Buffett criteria from Mary Buffett's "Buffettology": consistently high return on equity (ROE ≥... | 98 | Live |
| Buffett: Owner Earnings Yield | Quality & Balance Sheet | Buffett's pricing discipline as a scanner: a wonderful business is only a buy when 'owner earnings' — the cash... | 79 | Live |
| CEO Buys | Quality & Balance Sheet | The CEO has bought shares of the company in the last 12 months (matched from insider transactions against the... | 80 | Live |
| FCF/Market Cap | Quality & Balance Sheet | Free cash flow valuation: market cap ÷ the sum of the last 4 free-cash-flow quarters (TTM, i.e. real annual FC... | 27 | Live |
| Fundamental Rank (A / A+) | Quality & Balance Sheet | Our own Fundamental Rating (0…100 points, rank A+…F; 50 points = the average of the universe) in the style of... | 35 | Live |
| Insider Buying (Net) | Quality & Balance Sheet | More insider buys than sells over the last 12 months. When the people who know the company best are net buyers... | 210 | Live |
| Institutional + Insiders Building Positions | Quality & Balance Sheet | INTERIM (1 quarter, with the data we have today): institutional ownership grew in the most recent filing — mea... | 165 | Live |
| Institutional Accumulation | Quality & Balance Sheet | Now with REAL fundamental data: the major holders built net positions in their latest filings (more funds incr... | 475 | Live |
| Institutions + CEO Buying | Quality & Balance Sheet | A double buy signal: the CEO is buying shares of the company AND institutions are building net positions. Rare... | 62 | Live |
| Levermann | Quality & Balance Sheet | Susan Levermann's scoring system ('The Relaxed Path to Wealth'), here with 11 of the 13 original criteria: ret... | 421 | Live |
| Mark Minervini Code 33 | Quality & Balance Sheet | A rare, powerful growth setup from Mark Minervini: earnings per share (EPS), revenue, and profit margin all ac... | 3 | Live |
| Mike Webster: Recession Proof | Quality & Balance Sheet | Webster's recession screen (original 2020 formula): revenue growth in the latest quarter ≥ 25% AND averaging ≥... | 25 | Live |
| Piotroski F-Score (7–9) | Quality & Balance Sheet | Balance-sheet quality filter by Joseph Piotroski: 9 criteria covering earnings, cash flow, debt, and efficienc... | 17 | Live |
| Pros 80% | Quality & Balance Sheet | Stocks held more than 80% by professionals: institutional ownership (funds, pension funds, asset managers) plu... | 1487 | Live |
| QARP — Quality at a Fair Price | Quality & Balance Sheet | Quality at a Reasonable Price, inspired by quantitative factor research (including AQR's 'Quality Minus Junk')... | 48 | Live |
| Terry Smith: Quality (Fundsmith Criteria) | Quality & Balance Sheet | Terry Smith's published Fundsmith criteria ('Buy good companies, don't overpay, do nothing'), applied to the d... | 46 | Live |
| U/D Accumulation | Quality & Balance Sheet | Up/down volume ratio (50 days) ≥ 2 — clearly more up-volume than down-volume (accumulation). | 111 | Live |
| Dividend Aristocrats | Aktien.Guide | Dividend Aristocrats: companies that have raised their dividend EVERY year for at least 25 years in a row — th... | 96 | Live |
| Fallen Angels | Aktien.Guide | Fallen angels: at least a 40% price decline over the last year — but with intact fundamentals: equity ratio ab... | 29 | Live |
| NASDAQ Growth Stars | Aktien.Guide | Growth stars from the NASDAQ-100: index member, revenue growth (trailing 12 months) above 20%, and EV/Sales ra... | 4 | Live |
| Quality Stocks | Aktien.Guide | Sixfold quality filter: return on equity above 20%, equity ratio above 25%, free cash flow margin above 25% (l... | 23 | Live |
| Short-Squeeze Potential | Aktien.Guide | HGI top scorers (High-Growth-Investing score ≥ 11 plus additional conditions) with a high short interest ratio... | 14 | Live |
| Software Ideas | Aktien.Guide | Software and internet companies with efficient growth: Rule of 40 above 40 (revenue growth + free cash flow ma... | 35 | Live |
| Top Dividend Stocks | Aktien.Guide | The best dividend payers by our dividend score (0–15, top list from 12 points): 0–3 points each for dividend y... | 86 | Live |
| Top High-Growth Stocks | Aktien.Guide | The top scorers of the High-Growth-Investing strategy (Stefan Waldhauser) with enterprise value above $5B: HGI... | 36 | Live |
| Top Performers Europe | Aktien.Guide | European long-distance runners — in our universe, the German and French stocks: over 100% price gain in 5 year... | 0 | Live |
| US Dividend Rockets | Aktien.Guide | US stocks whose dividend has grown by more than 15% per year over the last 5 years (calendar-year totals per s... | 237 | Live |
| Value Stocks | Aktien.Guide | Quality at a bargain price: return on equity above 20%, equity ratio above 25%, free cash flow margin above 10... | 5 | Live |
| ATH | Breakout & Setup | All-Time High: shows stocks currently trading at their all-time high — no more than 2% below it. The all-time... | 135 | Live |
| Ants | Breakout & Setup | Ants (William O'Neil): if a stock has risen on at least 12 of the last 15 trading days, gained at least 10% in... | 17 | Live |
| Ben Bennett: Power of Four | Breakout & Setup | Ben Bennett's "Power of Four": the 10-, 20-, 50-, and 200-day lines sit extremely close together (max. 1% apar... | 2 | Live |
| Bullish Reversal Bar | Breakout & Setup | Bullish Reversal Bar: a single daily bar that first makes a new low below the prior day's low, then reverses s... | 209 | Live |
| Gap-Up (≥3%) | Breakout & Setup | A price gap of at least 3% to the upside: the stock opened at least 3% above the prior day's close — the raw f... | 170 | Live |
| Green Line Breakout | Breakout & Setup | Stocks breaking out above an all-time high, checked over the complete available price history — fresh strength... | 0 | Live |
| High ADR — Hot Theme | Breakout & Setup | Qullamaggie approach: trade volatile stocks (high ADR) in whichever sub-sectors are hottest right now. Specifi... | 4 | Live |
| Inside Day | Breakout & Setup | Inside Day: today's entire daily range (high and low) sits within yesterday's — the market is contracting. Thi... | 228 | Live |
| Inside Day at Highs | Breakout & Setup | Inside day near the high (≤ 10% below it) with RS Rating ≥ 80 — tight consolidation close to the high. | 25 | Live |
| Mark Minervini: Power Play | Breakout & Setup | Minervini's Power Play ('Trade Like a Stock Market Wizard'): a price explosion of at least 100% in roughly 8 w... | 14 | Live |
| Oliver Kell: Bull Snorts | Breakout & Setup | Kell's 'Bull Snorts' (Screening Guide): liquid stocks (price above $20, average volume above 500,000) that are... | 3 | Live |
| Oliver Kell: Gappers | Breakout & Setup | Kell's gap screen (Screening Guide): liquid stocks (price above $20, average volume above 500,000 shares) that... | 82 | Live |
| Oops Reversal | Breakout & Setup | Oops Reversal (Larry Williams bottom reversal): the stock gaps down below the prior day's low at the open — ty... | 122 | Live |
| Pocket Pivot | Breakout & Setup | Pocket Pivot (O'Neil/Gil Morales): an early accumulation signal. It's a strong up day with a high close, whose... | 130 | Live |
| Pradeep Bonde: $ Breakout Bullish | Breakout & Setup | Bonde's dollar breakout (original Stockbee formula 'c−o ≥ 0.90'): the stock closes at least $0.90 above its op... | 200 | Live |
| Pradeep Bonde: 4% Breakout Bullish | Breakout & Setup | Bonde's most-used scan (original Stockbee formula 'c/c1 ≥ 1.04'): a daily gain of at least 4% on above-average... | 17 | Live |
| Qullamaggie: Continuation Base | Breakout & Setup | Kullamägi's main setup (breakout/continuation): first a big move (≥ 25% in the last month), then an orderly, t... | 4 | Live |
| Qullamaggie: Episodic Pivot | Breakout & Setup | Episodic Pivot (EP) per Kristjan Kullamägi ('Qullamaggie'), learned from Pradeep Bonde. His own definition: a... | 10 | Live |
| Qullamaggie: High Tight Flag | Breakout & Setup | High Tight Flag / tight bull flag per Kullamägi's teaching: requires a large lead-in move (≥ 50% in roughly 2... | 6 | Live |
| Strong DCR (≥80) | Breakout & Setup | Daily Closing Range ≥ 80 — closing price in the top fifth of the day's range (strength into the close). | 500 | Live |
| Tight & Near High | Breakout & Setup | Tight daily and weekly range (WCR ≥ 85, DCR ≥ 70) no more than 8% below the high — volatility contraction just... | 134 | Live |
| Tight Weekly Closes | Breakout & Setup | Tight Weekly Closes: the last three weekly closing prices sit within just 1.5% of each other — the stock close... | 71 | Live |
| Tight Weekly Range (WCR≥90) | Breakout & Setup | Weekly Closing Range ≥ 90 and Daily Closing Range ≥ 70 — a very tight, strong weekly range closing near the hi... | 223 | Live |
| Volume Surge | Breakout & Setup | Relative volume (20 days) ≥ 2 and daily change ≥ 3% — a clear volume surge with price movement. | 6 | Live |
| Volume Surge | Breakout & Setup | Two consecutive trading days each with more than 5 times normal trading volume (average of the preceding 5 tra... | 5 | Live |
| EBIT Margin Ranking | Valuation & Metrics | Every stock with an EBIT margin of at least 40%, sorted by EBIT margin — the most profitable first. EBIT margi... | 206 | Live |
| P/CF Ranking | Valuation & Metrics | Every stock with positive operating cash flow and a P/CF of at most 10, sorted by price-to-cash-flow ratio (P/... | 874 | Live |
| P/E Ranking | Valuation & Metrics | Every stock with positive earnings and a P/E of at most 10, sorted by price-to-earnings ratio (P/E) — the chea... | 158 | Live |
| P/FCF Ranking | Valuation & Metrics | Every stock with positive free cash flow and a P/FCF of at most 10, sorted by price-to-free-cash-flow ratio (P... | 519 | Live |
| P/S Ranking | Valuation & Metrics | Every stock with a price-to-sales ratio (P/S) of at most 0.7, sorted by P/S — the cheapest first. Market cap d... | 538 | Live |
| Chowder Rule | Dividends | The Chowder Rule for dividend investors: dividend yield plus 5-year dividend growth (annualized) must add up t... | 369 | Live |
| Dividend Cutters ⚠ | Dividends | Stocks that have cut their dividend or where a cut looks likely: either the most recent payout is at least 5%... | 82 | Live |
| Dividend Nobility (4 Criteria) | Dividends | Röhl's Dividend Nobility test across four disciplines: continuity (dividend not cut for at least 10 years), pa... | 194 | Live |
| Dogs of the Dow | Dividends | O'Higgins's mechanical classic strategy: the 10 Dow Jones Industrial Average stocks with the highest dividend... | 10 | Live |
| Big Earnings Surprise | Earnings & Surprises | Reported earnings per share came in at least 20% above the analyst estimate in each of the last 4 completed qu... | 80 | Live |
| Earnings-Gap + RS | Earnings & Surprises | Earnings report within the last 7 days, an opening gap of at least 2% to the upside on or after the report dat... | 52 | Live |
| Recent Earnings Winners | Earnings & Surprises | Stocks that reported quarterly results in the last 14 days, beat the earnings estimate, AND were rewarded by t... | 87 | Live |
| 21-EMA Trend | Momentum & Trend | Price above the 21-day EMA in a Stage 2 uptrend — a tight trend-following setup. | 702 | Live |
| Above 21-EMA Pullback | Momentum & Trend | A pullback to the 21-day EMA within an intact uptrend — the classic add-on point for momentum traders. Criteri... | 321 | Live |
| Above the 50- & 200-SMA | Momentum & Trend | Price above the 50- and the 200-day line — intact uptrend above both key moving averages. | 1023 | Live |
| Ameet Rai: Daily Liquidity | Momentum & Trend | Rai's daily liquidity list (original criteria, TraderLion): every stock with at least 6 million shares traded... | 65 | Live |
| CANSLIM Type RS | Momentum & Trend | Based on William O'Neil's CAN SLIM idea: buy the market leaders, not the laggards. Looks for leading tech and... | 100 | Live |
| Character Change (CC) | Momentum & Trend | The 'Character Change' scan looks for stocks ahead of a possible positive trend reversal — fallen former leade... | 14 | Live |
| Chris Perruna: Daily New Highs | Momentum & Trend | Perruna's quality new-high screen (chrisperruna.com): the stock closes practically at its 52-week high (no mor... | 1 | Live |
| Chris Perruna: Within 15% of Highs | Momentum & Trend | Perruna's base screen for quality stocks within striking distance of their high (chrisperruna.com): no more th... | 9 | Live |
| Gary Antonacci: Dual Momentum (Stock Adaptation) | Momentum & Trend | Antonacci's "Dual Momentum" requires both at once: absolute momentum (the stock is up over 12 months — it's ri... | 476 | Live |
| High ADR (≥5%) | Momentum & Trend | Average Daily Range (ADR) ≥ 5% with an RS Rating ≥ 70 — high inherent volatility for range expansion. | 362 | Live |
| Jeff Sun | Momentum & Trend | Jeff Sun's (CFTe, from the Qullamaggie school) momentum growth approach: he hunts the strongest movers. Criter... | 20 | Live |
| Kathy Donnelly: Liquid Movers Up | Momentum & Trend | Donnelly's Liquid Movers (Lifecycle Trade approach): stocks with at least $20 million in daily dollar volume t... | 34 | Live |
| Mark Minervini: Trend Criteria — 1 Month | Momentum & Trend | Minervini's 8-point trend template in its minimum book version (200-day line rising for at least 1 month): pri... | 437 | Live |
| Mike Webster: Cross Fire | Momentum & Trend | Webster's Crossfire screen (original 2020 formula): up at least +1.5% today on a strong close (Daily Closing R... | 1 | Live |
| Mike Webster: Down Days Tell Screen | Momentum & Trend | Webster's tell screen for weak market days (original 2020 formula): stocks that fall less than the market on d... | 1 | Live |
| Mike Webster: Power Trend Leader | Momentum & Trend | Mike Webster's ideal case — a true leading stock that's trending HEALTHY rather than overheated. Requirements:... | 82 | Live |
| Mike Webster: Swing Trading List | Momentum & Trend | Webster's swing trading universe (original 2020 formula): the liquid base selection for swing trades — price ≥... | 228 | Live |
| Near 52-Week High | Momentum & Trend | No more than 5% below the 52-week high with RS rating ≥ 70 — strength near the high. | 222 | Live |
| Oliver Kell: 52 Week Highs | Momentum & Trend | Kell's new-high screen (Screening Guide): the stock closes essentially at its 52-week high (no more than 0.5%... | 4 | Live |
| Oliver Kell: Doublers | Momentum & Trend | Pure momentum outliers: stocks that have at least doubled this year (YTD > 100%), priced above $20, with suffi... | 64 | Live |
| Oliver Kell: Strength on Down Day | Momentum & Trend | Kell's screen for weak market days (Screening Guide): liquid, volatile stocks (price above $20, average volume... | 149 | Live |
| Power Trend | Momentum & Trend | Minervini/Qullamaggie Power Trend: the daily low has stayed above the 21-day EMA for at least 10 days, the 21-... | 1147 | Live |
| Qullamaggie: Top Gainers 1M | Momentum & Trend | Kullamägi's biggest-gainers screen over 1 month — exactly per his original filters: 1-month Absolute Strength... | 31 | Live |
| Qullamaggie: Top Gainers 3M | Momentum & Trend | Kullamägi's biggest-gainers screen over 3 months — exactly per his original filters: 3-month Absolute Strength... | 9 | Live |
| Qullamaggie: Top Gainers 6M | Momentum & Trend | Kullamägi's biggest-gainers screen over 6 months — exactly per his original filters: 6-month Absolute Strength... | 36 | Live |
| Qullamaggie: Trend Intensity (13/65) | Momentum & Trend | Trend Intensity indicator from the source: ratio of the 13-day average to the 65-day average × 100. Values abo... | 55 | Live |
| RS Leader (≥90) | Momentum & Trend | Relative strength rating ≥ 90 — the strongest ~10% relative to the market. | 252 | Live |
| RS New Highs | Momentum & Trend | Relative strength rating ≥ 90 and no more than 8% below the 52-week high — leading stocks at or near new highs... | 121 | Live |
| Richard Moglen: 1 Week Top Performers | Momentum & Trend | Moglen's weekly watchlist (TraderLion): the strongest liquid stocks of the past trading week — at least +15% o... | 28 | Live |
| Richard Moglen: Gaps and Strong Moves | Momentum & Trend | Moglen's daily screen (Deepvue: 'stocks that have a gap up and large gain for the day'): the stock opens at le... | 10 | Live |
| Richard Moglen: Top Performers 3/6 Month | Momentum & Trend | Moglen's leader list (TraderLion): stocks in the top decile of relative strength over 3 or 6 months (RS rating... | 275 | Live |
| Stage 2 Leader | Momentum & Trend | The 'Stage Analysis Leaders' scan: stocks early in an uptrend. Weinstein Stage 2, liquid (average $ volume 20D... | 148 | Live |
| Stan Weinstein: Checklist | Momentum & Trend | Weinstein's buy checklist ('Secrets for Profiting in Bull and Bear Markets'): Stage 2 (fresh uptrend), price a... | 185 | Live |
| Stan Weinstein: Stage 1 | Momentum & Trend | Weinstein Stage 1 — basing: the price moves sideways and the 30-week line (150-day SMA) flattens out after a d... | 219 | Live |
| Stan Weinstein: Stage 2 | Momentum & Trend | Weinstein Stage 2 — uptrend: the price is above the rising 30-week line. This is the markup phase and the only... | 934 | Live |
| Stan Weinstein: Stage 3 ⚠ | Momentum & Trend | Weinstein Stage 3 — topping: the uptrend loses momentum, the 30-week line flattens, price action turns choppy.... | 128 | Live |
| Strength on Stress Days | Momentum & Trend | True relative strength on stress days (idea: Ben Bennett's 'Down Day RS', here additionally sharpened at the s... | 172 | Live |
| Reddit Hot Stocks | Research | Every smaller US stock our daily Reddit hype scan has ever flagged: micro and small caps ($50M to $2B market c... | 118 | Live |
| Side Finds | Research | The editorial side finds of Minnow Street research: unexpected, documented findings from our in-depth stock an... | 365 | Live |
| Altman Z: Distress Zone ⚠ | Risk & Weakness | Altman's bankruptcy early warning in its purest form: the Z″-Score is in the distress zone (< 1.1) in both the... | 92 | Live |
| Bankruptcy Study: Stacked Warning Signals ⚠ | Risk & Weakness | The working version of our own analysis of 792 U.S. bankruptcies since 2005. Its core finding: no single warni... | 122 | Live |
| Below the 50- & 200-SMA ⚠ | Risk & Weakness | Price below the 50- AND the 200-day line — downtrend structure below both moving averages. | 386 | Live |
| Beneish M-Score ⚠ | Risk & Weakness | Professor Messod Beneish's earnings-manipulation indicator: eight ratios drawn from two annual financial state... | 416 | Live |
| Downward Momentum ⚠ | Risk & Weakness | Weak 3-month RS (≤ 10) and falling today — negative momentum. | 77 | Live |
| Going Concern (Distress Proxy) ⚠ | Risk & Weakness | Going concern refers to serious doubt about whether a company can continue to operate. This scanner takes the... | 161 | Live |
| Insolvency Radar: Cash Running Low ⚠ | Risk & Weakness | The mirror image of the Graham Net-Net shopping list: instead of companies with a bulging current-asset cushio... | 139 | Live |
| Kathy Donnelly: Liquid Movers Down ⚠ | Risk & Weakness | Donnelly's sell/risk side (lifecycle trade approach): stocks with at least $20M in daily dollar volume that ar... | 38 | Live |
| Mike Webster: Overextended (Webby RSI) ⚠ | Risk & Weakness | Mike Webster's caution/climax zone: the price has run ≥ 3 ATR (50-day) above the 21-EMA — measured with the We... | 27 | Live |
| Near 52-Week Low ⚠ | Risk & Weakness | No more than 10% above the 52-week low — persistent weakness near the yearly low. | 151 | Live |
| Pradeep Bonde: $ Breakout Bearish ⚠ | Risk & Weakness | Bonde's dollar breakdown (original Stockbee formula 'o−c ≥ 0.90'): the stock closes at least $0.90 below its o... | 134 | Live |
| Pradeep Bonde: 4% Breakout Bearish ⚠ | Risk & Weakness | Bonde's downside counterpart (original Stockbee formula 'c/c1 ≤ 0.96'): a daily loss of at least 4% on above-a... | 26 | Live |
| Qullamaggie: Parabolic (Short-Watch) ⚠ | Risk & Weakness | Kullamägi's third setup, the Parabolic (mostly SHORT): stocks act like rubber bands — when they're extremely o... | 8 | Live |
| RS Weakness (≤10) ⚠ | Risk & Weakness | Relative strength rating ≤ 10 — the weakest ~10% relative to the market. | 158 | Live |
| Stage 4 (Downtrend) ⚠ | Risk & Weakness | Weinstein Stage 4 — downtrend phase (short environment). Pure factual analysis, not a recommendation. | 418 | Live |
| Stan Weinstein: Stage 4 ⚠ | Risk & Weakness | Weinstein Stage 4 — downtrend: the price sits below the falling 30-week line, with lower highs and lower lows.... | 418 | Live |
| Stan Weinstein: Stage 4B- ⚠ | Risk & Weakness | Advanced Stage 4 downtrend with very weak relative strength (RS ≤ 20) — deep, persistent weakness. Clearly to... | 281 | Live |
| Thomas Insolvency Candidate ⚠ | Risk & Weakness | Looks for companies with high bankruptcy risk: weak balance sheet (at least 2 warning signs), earnings don't c... | 8 | Live |
| Weakness Cluster ⚠ | Risk & Weakness | Stage 4 + very weak RS (≤ 15) + price below the 200-day SMA — multiple weakness signals bundled together. | 210 | Live |
| Benjamin Graham: Defensive Investor | Value & GARP | Graham's criteria for the defensive investor ("The Intelligent Investor"), applied to the available dataset: a... | 53 | Live |
| Benjamin Graham: Enterprising Investor | Value & GARP | Graham's criteria for the enterprising investor ("The Intelligent Investor", Ch. 15) — the more active sibling... | 2 | Live |
| Benjamin Graham: Net-Nets (⅔ NCAV) | Value & GARP | Graham's most famous bargain rule, in its original form: market capitalization is below ⅔ of net current asset... | 8 | Live |
| David Dreman: Contrarian | Value & GARP | Dreman's contrarian strategy ("Contrarian Investment Strategies"): buy what everyone shuns — but only with hea... | 74 | Live |
| James O'Shaughnessy: Trending Value | Value & GARP | O'Shaughnessy's strongest strategy from 'What Works on Wall Street': first find the cheapest decile of the uni... | 25 | Live |
| Jim Slater: Zulu Principle | Value & GARP | Slater's 'Zulu Principle' — growth at a bargain price in small- and mid-cap stocks: PEG ≤ 0.75 with expected e... | 5 | Live |
| Joel Greenblatt: Magic Formula | Value & GARP | The simplified screener version of Greenblatt's "The Little Book That Beats the Market": above-average compani... | 25 | Live |
| Peter Lynch: PEG ≤ 1 | Value & GARP | Lynch's core rule from 'One Up on Wall Street': the P/E should be below the growth rate — PEG (P/E ÷ expected... | 117 | Live |
| Tobias Carlisle: Acquirer's Multiple | Value & GARP | Carlisle's 'Acquirer's Multiple': what would an acquirer pay for the whole business? Enterprise value (market... | 12 | Live |
| Turnaround Candidates | Value & GARP | A turnaround is the reversal of fortune of a struggling company: first the stock crashes, then the business tu... | 56 | Live |
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Best Hits 8 scanners live
Bankruptcy Study: The Sharpest Three-Signal Combination ⚠
The sharpest signal combination in our analysis of 792 U.S. bankruptcies — and also the rarest. The company has declared...
● Live · 3 Findings
Best of All
Collects stocks that had positive free cash flow in the most recent quarter AND whose revenue and EPS (earnings per shar...
● Live · 6 Hits
Best of Short ⚠
The dark mirror image of Best of All: only stocks that trigger ALL four warning signals at once make this list. First, t...
● Live · 0 Findings
Green Light
Every stock whose latest Minnow Street analysis confirms the quality of the company — a green rating light: business mod...
● Live · 30 Hits
Minnow Street Favorites
The combination of hard growth criteria and an in-depth look at the company: quarterly EPS (earnings per share) ≥ 30%, q...
● Live · 0 Hits
Quality & Growth
The quality list, filtered by pace: stocks with confirmed quality (green light in the latest Minnow Street analysis) who...
● Live · 12 Hits
Quality & Uptrend
The quality list, filtered by the chart: stocks with confirmed quality (green light in the latest Minnow Street analysis...
● Live · 11 Hits
Quality & Value
The quality list, filtered by the price question: stocks whose latest Minnow Street analysis confirms the quality of the...
● Live · 7 Hits
Growth 18 scanners live
Ben Bennett: Focus List
Ben Bennett's Focus List: quality growth stocks in strong industries. The industry ranks in the top 40 by 12-month stren...
● Live · 41 Hits
Ben Bennett: Power Screen
Ben Bennett's Power Screen looks for accumulation in strength: up/down volume ratio (50 days) above 1.2 (more volume on...
● Live · 80 Hits
Dan Zanger: Leader
Zanger's real strategy (not the widely circulated 'Liquid High Beta' variant). He buys institutional market leaders: exp...
● Live · 16 Hits
EPS & Revenue Power
Quarterly EPS (earnings per share) ≥ 30% and quarterly revenue ≥ 30% with an EPS Rating ≥ 85 — combined earnings and rev...
● Live · 37 Hits
EPS Acceleration
Real acceleration: EPS growth (earnings per share, YoY) in the most recent quarter higher than in the prior quarter, fro...
● Live · 388 Hits
High Revenue Growth
Consistently high revenue growth: in each of the last 6 quarters, revenue was at least 20% above the same quarter a year...
● Live · 83 Hits
Jim Roppel: 20/20 Screen
Roppel's '20/20' looks for the 'elite of the elite' — market leaders with ≥20% growth in revenue, earnings, ROE, and mar...
● Live · 1 Hits
Joshua
Joshua's growth scanner — motto: "let your winners run, cut your losers." A hard precondition is the price trend: market...
● Live · 102 Hits
Martin Zweig: Growth with Reason
Zweig's approach from 'Winning on Wall Street': strong, accelerating earnings growth confirmed by revenue — but never at...
● Live · 72 Hits
Matt Caruso: Sales Leader
Matt Caruso's sales screen: 12-month relative strength above 75, revenue growth in the latest quarter above 40%, 12-mont...
● Live · 25 Hits
Patrick Walker: 30% EPS Growth
Patrick Walker's growth momentum screen (replicated in our in-house stock scanner). Group 1 (ALL conditions): price > $1...
● Live · 41 Hits
Patrick Walker: 40, 40 Screen
Walker's 'Great Earnings OR Great Sales' screen (Mission Winners): quarterly EPS ≥ +40% OR average revenue growth over t...
● Live · 96 Hits
Quality Growth
Quarterly revenue growth ≥ 15% and EPS rating (earnings per share) ≥ 70 — solid growth with a good earnings rating.
● Live · 204 Hits
Small Caps with Growth
Small-cap stocks with combined earnings and revenue strength: quarterly EPS (earnings per share) ≥ 30% and quarterly rev...
● Live · 5 Hits
Ted Zhang: Super Stock Universe
Zhang's 'Magic Elixir' universe: very liquid (average dollar volume ≥ $50M), volatile (average daily range ≥ 2%), alread...
● Live · 87 Hits
Thomas' Favorites
Thomas' personal favorite combination: (1) big growth — quarterly earnings per share (EPS) ≥ 25% AND quarterly revenue ≥...
● Live · 9 Hits
Triple-Digit Revenue Growth
Looks for companies with exploding revenue: revenue in the most recent quarter is at least 100% higher than about 6 quar...
● Live · 21 Hits
William O'Neil (CAN SLIM)
O'Neil's CAN SLIM criteria ('How to Make Money in Stocks'), quantitative core: quarterly EPS and revenue each ≥ +25% (C)...
● Live · 13 Hits
Quality & Balance Sheet 18 scanners live
Altman Z: Balance Sheet Fortress
The mirror image of the Distress Radar: Altman Z″ in the safe zone (≥ 2.6) in EVERY available quarter, plus a Piotroski...
● Live · 144 Hits
Buffett Criteria (Buffettology)
The screenable Buffett criteria from Mary Buffett's "Buffettology": consistently high return on equity (ROE ≥ 15%), very...
● Live · 98 Hits
Buffett: Owner Earnings Yield
Buffett's pricing discipline as a scanner: a wonderful business is only a buy when 'owner earnings' — the cash the owner...
● Live · 79 Hits
CEO Buys
The CEO has bought shares of the company in the last 12 months (matched from insider transactions against the officer li...
● Live · 80 Hits
FCF/Market Cap
Free cash flow valuation: market cap ÷ the sum of the last 4 free-cash-flow quarters (TTM, i.e. real annual FCF rather t...
● Live · 27 Hits
Fundamental Rank (A / A+)
Our own Fundamental Rating (0…100 points, rank A+…F; 50 points = the average of the universe) in the style of profession...
● Live · 35 Hits
Insider Buying (Net)
More insider buys than sells over the last 12 months. When the people who know the company best are net buyers, that has...
● Live · 210 Hits
Institutional + Insiders Building Positions
INTERIM (1 quarter, with the data we have today): institutional ownership grew in the most recent filing — measured in %...
● Live · 165 Hits
Institutional Accumulation
Now with REAL fundamental data: the major holders built net positions in their latest filings (more funds increasing the...
● Live · 475 Hits
Institutions + CEO Buying
A double buy signal: the CEO is buying shares of the company AND institutions are building net positions. Rare, but one...
● Live · 62 Hits
Levermann
Susan Levermann's scoring system ('The Relaxed Path to Wealth'), here with 11 of the 13 original criteria: return on equ...
● Live · 421 Hits
Mark Minervini Code 33
A rare, powerful growth setup from Mark Minervini: earnings per share (EPS), revenue, and profit margin all accelerate s...
● Live · 3 Hits
Mike Webster: Recession Proof
Webster's recession screen (original 2020 formula): revenue growth in the latest quarter ≥ 25% AND averaging ≥ 25% over...
● Live · 25 Hits
Piotroski F-Score (7–9)
Balance-sheet quality filter by Joseph Piotroski: 9 criteria covering earnings, cash flow, debt, and efficiency combine...
● Live · 17 Hits
Pros 80%
Stocks held more than 80% by professionals: institutional ownership (funds, pension funds, asset managers) plus insider...
● Live · 1487 Hits
QARP — Quality at a Fair Price
Quality at a Reasonable Price, inspired by quantitative factor research (including AQR's 'Quality Minus Junk'): high bal...
● Live · 48 Hits
Terry Smith: Quality (Fundsmith Criteria)
Terry Smith's published Fundsmith criteria ('Buy good companies, don't overpay, do nothing'), applied to the dataset: hi...
● Live · 46 Hits
U/D Accumulation
Up/down volume ratio (50 days) ≥ 2 — clearly more up-volume than down-volume (accumulation).
● Live · 111 Hits
Aktien.Guide 11 scanners live
Dividend Aristocrats
Dividend Aristocrats: companies that have raised their dividend EVERY year for at least 25 years in a row — through the...
● Live · 96 Hits
Fallen Angels
Fallen angels: at least a 40% price decline over the last year — but with intact fundamentals: equity ratio above 25%, p...
● Live · 29 Hits
NASDAQ Growth Stars
Growth stars from the NASDAQ-100: index member, revenue growth (trailing 12 months) above 20%, and EV/Sales ratio below...
● Live · 4 Hits
Quality Stocks
Sixfold quality filter: return on equity above 20%, equity ratio above 25%, free cash flow margin above 25% (last 4 quar...
● Live · 23 Hits
Short-Squeeze Potential
HGI top scorers (High-Growth-Investing score ≥ 11 plus additional conditions) with a high short interest ratio: over 10%...
● Live · 14 Hits
Software Ideas
Software and internet companies with efficient growth: Rule of 40 above 40 (revenue growth + free cash flow margin, trai...
● Live · 35 Hits
Top Dividend Stocks
The best dividend payers by our dividend score (0–15, top list from 12 points): 0–3 points each for dividend yield (≥ 1....
● Live · 86 Hits
Top High-Growth Stocks
The top scorers of the High-Growth-Investing strategy (Stefan Waldhauser) with enterprise value above $5B: HGI score at...
● Live · 36 Hits
Top Performers Europe
European long-distance runners — in our universe, the German and French stocks: over 100% price gain in 5 years, return...
● Live · 0 Hits
US Dividend Rockets
US stocks whose dividend has grown by more than 15% per year over the last 5 years (calendar-year totals per share, spli...
● Live · 237 Hits
Value Stocks
Quality at a bargain price: return on equity above 20%, equity ratio above 25%, free cash flow margin above 10% (last 4...
● Live · 5 Hits
Breakout & Setup 25 scanners live
ATH
All-Time High: shows stocks currently trading at their all-time high — no more than 2% below it. The all-time high is me...
● Live · 135 Hits
Ants
Ants (William O'Neil): if a stock has risen on at least 12 of the last 15 trading days, gained at least 10% in total, an...
● Live · 17 Hits
Ben Bennett: Power of Four
Ben Bennett's "Power of Four": the 10-, 20-, 50-, and 200-day lines sit extremely close together (max. 1% apart). This c...
● Live · 2 Hits
Bullish Reversal Bar
Bullish Reversal Bar: a single daily bar that first makes a new low below the prior day's low, then reverses sharply and...
● Live · 209 Hits
Gap-Up (≥3%)
A price gap of at least 3% to the upside: the stock opened at least 3% above the prior day's close — the raw form of the...
● Live · 170 Hits
Green Line Breakout
Stocks breaking out above an all-time high, checked over the complete available price history — fresh strength with no o...
● Live · 0 Hits
High ADR — Hot Theme
Qullamaggie approach: trade volatile stocks (high ADR) in whichever sub-sectors are hottest right now. Specifically: ADR...
● Live · 4 Hits
Inside Day
Inside Day: today's entire daily range (high and low) sits within yesterday's — the market is contracting. This volatili...
● Live · 228 Hits
Inside Day at Highs
Inside day near the high (≤ 10% below it) with RS Rating ≥ 80 — tight consolidation close to the high.
● Live · 25 Hits
Mark Minervini: Power Play
Minervini's Power Play ('Trade Like a Stock Market Wizard'): a price explosion of at least 100% in roughly 8 weeks that...
● Live · 14 Hits
Oliver Kell: Bull Snorts
Kell's 'Bull Snorts' (Screening Guide): liquid stocks (price above $20, average volume above 500,000) that are trading u...
● Live · 3 Hits
Oliver Kell: Gappers
Kell's gap screen (Screening Guide): liquid stocks (price above $20, average volume above 500,000 shares) that opened mo...
● Live · 82 Hits
Oops Reversal
Oops Reversal (Larry Williams bottom reversal): the stock gaps down below the prior day's low at the open — typical afte...
● Live · 122 Hits
Pocket Pivot
Pocket Pivot (O'Neil/Gil Morales): an early accumulation signal. It's a strong up day with a high close, whose daily vol...
● Live · 130 Hits
Pradeep Bonde: $ Breakout Bullish
Bonde's dollar breakout (original Stockbee formula 'c−o ≥ 0.90'): the stock closes at least $0.90 above its opening pric...
● Live · 200 Hits
Pradeep Bonde: 4% Breakout Bullish
Bonde's most-used scan (original Stockbee formula 'c/c1 ≥ 1.04'): a daily gain of at least 4% on above-average volume (r...
● Live · 17 Hits
Qullamaggie: Continuation Base
Kullamägi's main setup (breakout/continuation): first a big move (≥ 25% in the last month), then an orderly, tight conso...
● Live · 4 Hits
Qullamaggie: Episodic Pivot
Episodic Pivot (EP) per Kristjan Kullamägi ('Qullamaggie'), learned from Pradeep Bonde. His own definition: a daily gap/...
● Live · 10 Hits
Qullamaggie: High Tight Flag
High Tight Flag / tight bull flag per Kullamägi's teaching: requires a large lead-in move (≥ 50% in roughly 2 months). T...
● Live · 6 Hits
Strong DCR (≥80)
Daily Closing Range ≥ 80 — closing price in the top fifth of the day's range (strength into the close).
● Live · 500 Hits
Tight & Near High
Tight daily and weekly range (WCR ≥ 85, DCR ≥ 70) no more than 8% below the high — volatility contraction just under the...
● Live · 134 Hits
Tight Weekly Closes
Tight Weekly Closes: the last three weekly closing prices sit within just 1.5% of each other — the stock closes week aft...
● Live · 71 Hits
Tight Weekly Range (WCR≥90)
Weekly Closing Range ≥ 90 and Daily Closing Range ≥ 70 — a very tight, strong weekly range closing near the high.
● Live · 223 Hits
Volume Surge
Relative volume (20 days) ≥ 2 and daily change ≥ 3% — a clear volume surge with price movement.
● Live · 6 Hits
Volume Surge
Two consecutive trading days each with more than 5 times normal trading volume (average of the preceding 5 trading days)...
● Live · 5 Hits
Valuation & Metrics 5 scanners live
EBIT Margin Ranking
Every stock with an EBIT margin of at least 40%, sorted by EBIT margin — the most profitable first. EBIT margin shows ho...
● Live · 206 Hits
P/CF Ranking
Every stock with positive operating cash flow and a P/CF of at most 10, sorted by price-to-cash-flow ratio (P/CF) — the...
● Live · 874 Hits
P/E Ranking
Every stock with positive earnings and a P/E of at most 10, sorted by price-to-earnings ratio (P/E) — the cheapest first...
● Live · 158 Hits
P/FCF Ranking
Every stock with positive free cash flow and a P/FCF of at most 10, sorted by price-to-free-cash-flow ratio (P/FCF) — th...
● Live · 519 Hits
P/S Ranking
Every stock with a price-to-sales ratio (P/S) of at most 0.7, sorted by P/S — the cheapest first. Market cap divided by...
● Live · 538 Hits
Dividends 4 scanners live
Chowder Rule
The Chowder Rule for dividend investors: dividend yield plus 5-year dividend growth (annualized) must add up to at least...
● Live · 369 Hits
Dividend Cutters ⚠
Stocks that have cut their dividend or where a cut looks likely: either the most recent payout is at least 5% below the...
● Live · 82 Findings
Dividend Nobility (4 Criteria)
Röhl's Dividend Nobility test across four disciplines: continuity (dividend not cut for at least 10 years), payout corri...
● Live · 194 Hits
Dogs of the Dow
O'Higgins's mechanical classic strategy: the 10 Dow Jones Industrial Average stocks with the highest dividend yield — th...
● Live · 10 Hits
Earnings & Surprises 3 scanners live
Big Earnings Surprise
Reported earnings per share came in at least 20% above the analyst estimate in each of the last 4 completed quarters — c...
● Live · 80 Hits
Earnings-Gap + RS
Earnings report within the last 7 days, an opening gap of at least 2% to the upside on or after the report date, AND hig...
● Live · 52 Hits
Recent Earnings Winners
Stocks that reported quarterly results in the last 14 days, beat the earnings estimate, AND were rewarded by the market:...
● Live · 87 Hits
Momentum & Trend 37 scanners live
21-EMA Trend
Price above the 21-day EMA in a Stage 2 uptrend — a tight trend-following setup.
● Live · 702 Hits
Above 21-EMA Pullback
A pullback to the 21-day EMA within an intact uptrend — the classic add-on point for momentum traders. Criteria: price a...
● Live · 321 Hits
Above the 50- & 200-SMA
Price above the 50- and the 200-day line — intact uptrend above both key moving averages.
● Live · 1023 Hits
Ameet Rai: Daily Liquidity
Rai's daily liquidity list (original criteria, TraderLion): every stock with at least 6 million shares traded today and...
● Live · 65 Hits
CANSLIM Type RS
Based on William O'Neil's CAN SLIM idea: buy the market leaders, not the laggards. Looks for leading tech and consumer s...
● Live · 100 Hits
Character Change (CC)
The 'Character Change' scan looks for stocks ahead of a possible positive trend reversal — fallen former leaders that ar...
● Live · 14 Hits
Chris Perruna: Daily New Highs
Perruna's quality new-high screen (chrisperruna.com): the stock closes practically at its 52-week high (no more than 0.5...
● Live · 1 Hits
Chris Perruna: Within 15% of Highs
Perruna's base screen for quality stocks within striking distance of their high (chrisperruna.com): no more than 15% bel...
● Live · 9 Hits
Gary Antonacci: Dual Momentum (Stock Adaptation)
Antonacci's "Dual Momentum" requires both at once: absolute momentum (the stock is up over 12 months — it's rising at al...
● Live · 476 Hits
High ADR (≥5%)
Average Daily Range (ADR) ≥ 5% with an RS Rating ≥ 70 — high inherent volatility for range expansion.
● Live · 362 Hits
Jeff Sun
Jeff Sun's (CFTe, from the Qullamaggie school) momentum growth approach: he hunts the strongest movers. Criteria: quarte...
● Live · 20 Hits
Kathy Donnelly: Liquid Movers Up
Donnelly's Liquid Movers (Lifecycle Trade approach): stocks with at least $20 million in daily dollar volume that are up...
● Live · 34 Hits
Mark Minervini: Trend Criteria — 1 Month
Minervini's 8-point trend template in its minimum book version (200-day line rising for at least 1 month): price above t...
● Live · 437 Hits
Mike Webster: Cross Fire
Webster's Crossfire screen (original 2020 formula): up at least +1.5% today on a strong close (Daily Closing Range ≥ 80%...
● Live · 1 Hits
Mike Webster: Down Days Tell Screen
Webster's tell screen for weak market days (original 2020 formula): stocks that fall less than the market on down days (...
● Live · 1 Hits
Mike Webster: Power Trend Leader
Mike Webster's ideal case — a true leading stock that's trending HEALTHY rather than overheated. Requirements: an active...
● Live · 82 Hits
Mike Webster: Swing Trading List
Webster's swing trading universe (original 2020 formula): the liquid base selection for swing trades — price ≥ $10, aver...
● Live · 228 Hits
Near 52-Week High
No more than 5% below the 52-week high with RS rating ≥ 70 — strength near the high.
● Live · 222 Hits
Oliver Kell: 52 Week Highs
Kell's new-high screen (Screening Guide): the stock closes essentially at its 52-week high (no more than 0.5% below it)...
● Live · 4 Hits
Oliver Kell: Doublers
Pure momentum outliers: stocks that have at least doubled this year (YTD > 100%), priced above $20, with sufficient liqu...
● Live · 64 Hits
Oliver Kell: Strength on Down Day
Kell's screen for weak market days (Screening Guide): liquid, volatile stocks (price above $20, average volume above 500...
● Live · 149 Hits
Power Trend
Minervini/Qullamaggie Power Trend: the daily low has stayed above the 21-day EMA for at least 10 days, the 21-EMA has be...
● Live · 1147 Hits
Qullamaggie: Top Gainers 1M
Kullamägi's biggest-gainers screen over 1 month — exactly per his original filters: 1-month Absolute Strength rating (AS...
● Live · 31 Hits
Qullamaggie: Top Gainers 3M
Kullamägi's biggest-gainers screen over 3 months — exactly per his original filters: 3-month Absolute Strength rating (A...
● Live · 9 Hits
Qullamaggie: Top Gainers 6M
Kullamägi's biggest-gainers screen over 6 months — exactly per his original filters: 6-month Absolute Strength rating (A...
● Live · 36 Hits
Qullamaggie: Trend Intensity (13/65)
Trend Intensity indicator from the source: ratio of the 13-day average to the 65-day average × 100. Values above 108–110...
● Live · 55 Hits
RS Leader (≥90)
Relative strength rating ≥ 90 — the strongest ~10% relative to the market.
● Live · 252 Hits
RS New Highs
Relative strength rating ≥ 90 and no more than 8% below the 52-week high — leading stocks at or near new highs.
● Live · 121 Hits
Richard Moglen: 1 Week Top Performers
Moglen's weekly watchlist (TraderLion): the strongest liquid stocks of the past trading week — at least +15% over the la...
● Live · 28 Hits
Richard Moglen: Gaps and Strong Moves
Moglen's daily screen (Deepvue: 'stocks that have a gap up and large gain for the day'): the stock opens at least 3% abo...
● Live · 10 Hits
Richard Moglen: Top Performers 3/6 Month
Moglen's leader list (TraderLion): stocks in the top decile of relative strength over 3 or 6 months (RS rating 3M or 6M...
● Live · 275 Hits
Stage 2 Leader
The 'Stage Analysis Leaders' scan: stocks early in an uptrend. Weinstein Stage 2, liquid (average $ volume 20D > $20M),...
● Live · 148 Hits
Stan Weinstein: Checklist
Weinstein's buy checklist ('Secrets for Profiting in Bull and Bear Markets'): Stage 2 (fresh uptrend), price above the l...
● Live · 185 Hits
Stan Weinstein: Stage 1
Weinstein Stage 1 — basing: the price moves sideways and the 30-week line (150-day SMA) flattens out after a downtrend....
● Live · 219 Hits
Stan Weinstein: Stage 2
Weinstein Stage 2 — uptrend: the price is above the rising 30-week line. This is the markup phase and the only one in wh...
● Live · 934 Hits
Stan Weinstein: Stage 3 ⚠
Weinstein Stage 3 — topping: the uptrend loses momentum, the 30-week line flattens, price action turns choppy. Time to l...
● Live · 128 Findings
Strength on Stress Days
True relative strength on stress days (idea: Ben Bennett's 'Down Day RS', here additionally sharpened at the sector leve...
● Live · 172 Hits
Research 2 scanners live
Reddit Hot Stocks
Every smaller US stock our daily Reddit hype scan has ever flagged: micro and small caps ($50M to $2B market cap) on reg...
● Live · 118 Hits
Side Finds
The editorial side finds of Minnow Street research: unexpected, documented findings from our in-depth stock analyses — b...
● Live · 365 Hits
Risk & Weakness 19 scanners live
Altman Z: Distress Zone ⚠
Altman's bankruptcy early warning in its purest form: the Z″-Score is in the distress zone (< 1.1) in both the most rece...
● Live · 92 Findings
Bankruptcy Study: Stacked Warning Signals ⚠
The working version of our own analysis of 792 U.S. bankruptcies since 2005. Its core finding: no single warning sign ca...
● Live · 122 Findings
Below the 50- & 200-SMA ⚠
Price below the 50- AND the 200-day line — downtrend structure below both moving averages.
● Live · 386 Findings
Beneish M-Score ⚠
Professor Messod Beneish's earnings-manipulation indicator: eight ratios drawn from two annual financial statements (rec...
● Live · 416 Findings
Downward Momentum ⚠
Weak 3-month RS (≤ 10) and falling today — negative momentum.
● Live · 77 Findings
Going Concern (Distress Proxy) ⚠
Going concern refers to serious doubt about whether a company can continue to operate. This scanner takes the classic wa...
● Live · 161 Findings
Insolvency Radar: Cash Running Low ⚠
The mirror image of the Graham Net-Net shopping list: instead of companies with a bulging current-asset cushion, this sc...
● Live · 139 Findings
Kathy Donnelly: Liquid Movers Down ⚠
Donnelly's sell/risk side (lifecycle trade approach): stocks with at least $20M in daily dollar volume that are down at...
● Live · 38 Findings
Mike Webster: Overextended (Webby RSI) ⚠
Mike Webster's caution/climax zone: the price has run ≥ 3 ATR (50-day) above the 21-EMA — measured with the Webby RSI 2....
● Live · 27 Findings
Near 52-Week Low ⚠
No more than 10% above the 52-week low — persistent weakness near the yearly low.
● Live · 151 Findings
Pradeep Bonde: $ Breakout Bearish ⚠
Bonde's dollar breakdown (original Stockbee formula 'o−c ≥ 0.90'): the stock closes at least $0.90 below its opening pri...
● Live · 134 Findings
Pradeep Bonde: 4% Breakout Bearish ⚠
Bonde's downside counterpart (original Stockbee formula 'c/c1 ≤ 0.96'): a daily loss of at least 4% on above-average vol...
● Live · 26 Findings
Qullamaggie: Parabolic (Short-Watch) ⚠
Kullamägi's third setup, the Parabolic (mostly SHORT): stocks act like rubber bands — when they're extremely overextende...
● Live · 8 Findings
RS Weakness (≤10) ⚠
Relative strength rating ≤ 10 — the weakest ~10% relative to the market.
● Live · 158 Findings
Stage 4 (Downtrend) ⚠
Weinstein Stage 4 — downtrend phase (short environment). Pure factual analysis, not a recommendation.
● Live · 418 Findings
Stan Weinstein: Stage 4 ⚠
Weinstein Stage 4 — downtrend: the price sits below the falling 30-week line, with lower highs and lower lows. Avoid on...
● Live · 418 Findings
Stan Weinstein: Stage 4B- ⚠
Advanced Stage 4 downtrend with very weak relative strength (RS ≤ 20) — deep, persistent weakness. Clearly to be avoided...
● Live · 281 Findings
Thomas Insolvency Candidate ⚠
Looks for companies with high bankruptcy risk: weak balance sheet (at least 2 warning signs), earnings don't cover inter...
● Live · 8 Findings
Weakness Cluster ⚠
Stage 4 + very weak RS (≤ 15) + price below the 200-day SMA — multiple weakness signals bundled together.
● Live · 210 Findings
Value & GARP 10 scanners live
Benjamin Graham: Defensive Investor
Graham's criteria for the defensive investor ("The Intelligent Investor"), applied to the available dataset: adequate si...
● Live · 53 Hits
Benjamin Graham: Enterprising Investor
Graham's criteria for the enterprising investor ("The Intelligent Investor", Ch. 15) — the more active sibling of the de...
● Live · 2 Hits
Benjamin Graham: Net-Nets (⅔ NCAV)
Graham's most famous bargain rule, in its original form: market capitalization is below ⅔ of net current asset value (NC...
● Live · 8 Hits
David Dreman: Contrarian
Dreman's contrarian strategy ("Contrarian Investment Strategies"): buy what everyone shuns — but only with healthy funda...
● Live · 74 Hits
James O'Shaughnessy: Trending Value
O'Shaughnessy's strongest strategy from 'What Works on Wall Street': first find the cheapest decile of the universe via...
● Live · 25 Hits
Jim Slater: Zulu Principle
Slater's 'Zulu Principle' — growth at a bargain price in small- and mid-cap stocks: PEG ≤ 0.75 with expected earnings gr...
● Live · 5 Hits
Joel Greenblatt: Magic Formula
The simplified screener version of Greenblatt's "The Little Book That Beats the Market": above-average companies (return...
● Live · 25 Hits
Peter Lynch: PEG ≤ 1
Lynch's core rule from 'One Up on Wall Street': the P/E should be below the growth rate — PEG (P/E ÷ expected earnings g...
● Live · 117 Hits
Tobias Carlisle: Acquirer's Multiple
Carlisle's 'Acquirer's Multiple': what would an acquirer pay for the whole business? Enterprise value (market cap + debt...
● Live · 12 Hits
Turnaround Candidates
A turnaround is the reversal of fortune of a struggling company: first the stock crashes, then the business turns around...
● Live · 56 Hits
Terms Explained: the Scanner Glossary
Every technical term our scanners use — explained briefly and clearly.- 52-Week High / Low
- The highest or lowest price of the last 52 weeks (one trading year). "Within 10% of the 52-week high" means: the stock is trading near its yearly high - a sign of strength, since weakness looks different.
- Absolute Strength (AS)
- The strength rating from Qullamaggie's original tool: a percentile from 1 to 99 for price gains over a period (1, 3, or 6 months). On our site it corresponds to the RS Rating over the same period.
- Accumulation
- The patient buildup of a position by large players, visible through above-average volume on up days. The opposite - distribution - is large holders unloading shares into rising prices.
- ADR (Average Daily Range)
- The average daily swing of a stock in percent - measured over 10 or 30 trading days (columns "ADR 10D/30D"). An ADR of 5% means: on a normal day the gap between the intraday low and high runs about 5%. Traders look for movement - that is why stocks with an ADR under 1% are filtered out globally. Not to be confused with ADR meaning "American Depositary Receipt" (a US certificate for foreign shares) - here ADR always means the daily swing.
- AI Classification
- Our company-by-company assessment of the AI boom based on SEC filings (the last four quarterly 10-Q reports and two annual 10-K reports): "Sells AI" (AI is a revenue source), "Threatened" (AI is a concrete business risk), "Uses AI" (operational use), or "Neutral" (no material AI exposure). Every classification requires at least two direct quote citations - otherwise the column shows "-". Not a quality judgment or a buy recommendation; the full file is on the stock page, methodology at /stocks/ai-rating-methodology.
- All-Time High (ATH)
- The highest price in the stock's entire available history. Above the all-time high there is no old resistance left: nobody is sitting on losses waiting to "get out even" - every holder is in profit. That is why breakouts to all-time highs are considered especially clean.
- Altman Z-Score
- A bankruptcy early-warning system developed by Edward Altman: several balance-sheet ratios are combined into one score. We use the Z″ variant, built from four balance-sheet ratios — it is designed for service companies and non-manufacturers and uses book value instead of market value. Values from 2.6 up are considered a safe zone, values below 1.1 a distress zone with elevated bankruptcy risk; in between lies a grey area. Because the classic Altman Z is calculated differently, the two numbers are not directly comparable. The formula does not fit banks, insurers, or real-estate stocks.
- Analysis (Full Company Analysis)
- If the Analysis column shows "Read," there is an in-depth TickerGuard company analysis for this stock: business model, scanner findings, quarterly results, evidence from SEC filings, plus opportunities and risks. One click opens it directly.
- ATR (Average True Range)
- The average daily range in dollars (instead of percent like the ADR), including gaps. Often used as a yardstick: "3 ATR above the 21-EMA" means the price has run three normal daily moves above its trend line - significantly extended.
- Avg/Yr 3Y (Average Annual Return)
- The stock's average annual return over the past 3 years. Shows at a glance whether a stock delivers over the long run or just had a short hot streak.
- Base / Consolidation
- A pause in the chart: after a rally, the stock trades sideways for weeks in a range, ideally with higher lows and shrinking volume. The most durable breakouts come out of such bases - the quieter the base, the better.
- Beta
- Measures how much a stock swings relative to the overall market: a beta of 2 means it moves on average twice as much as the market - in both directions.
- Breakout
- The price clears a level where it previously failed multiple times (top of a base, an old high) - ideally on clearly elevated volume. For many momentum strategies, the breakout is the actual buy signal.
- CANSLIM
- William O'Neil's strategy framework, whose seven letters each mark a criterion - among them current earnings growth, new products/highs, institutional sponsorship, and market direction. Core idea: buy the market leaders, not the laggards.
- Debt/Equity Ratio
- Debt divided by (tangible) equity. A value of 0.5 means: for every dollar of equity there are 50 cents of debt. The lower, the more cushion a company has in bad times - value and quality investors like values under 1.
- Dividend Aristocrats
- S&P 500 companies that have raised their dividend every year for at least 25 years - through every crisis along the way. The title is no guarantee for the future, but it is hard evidence of an extremely stable business model in the past.
- Dollar Volume
- Shares traded x price = how much money flows through the stock per day. An average dollar volume of $2 million or more makes sure you can also get back out without moving the price yourself - the single most important liquidity filter.
- Earnings Date
- The date of the next quarterly earnings report. Price gaps in either direction are common around this date - that is why we color it red when it is 7 days away or less, and yellow when it is 14 days away or less: elevated risk for fresh positions.
- EBIT Margin
- Operating profit before interest and taxes (EBIT) as a percent of revenue - measures the earning power of the core business alone, independent of financing and tax rates.
- EMA (Exponential Moving Average)
- Like the simple moving average, but more recent prices carry more weight - the line follows price faster. The 21-day EMA is the standard short-term trend line for momentum traders.
- EPS (Earnings per Share)
- Quarterly earnings divided by the number of shares outstanding. The most important growth metric: if EPS rises strongly over several quarters, the company is earning more money per share.
- EV/EBIT (Enterprise Value ÷ Operating Profit)
- Enterprise value (market cap plus debt) divided by operating profit before interest and taxes. The acquirer's perspective: what does the entire business cost - including the debt a buyer would assume - relative to what it earns operationally?
- Free Cash Flow (FCF)
- Operating cash flow minus capital expenditures - the money left over for everything else (debt paydown, acquisitions, or buybacks). Consistently positive free cash flow is one of the most honest signs of a healthy business model.
- Funda Rating (Fundamental Rating A+ to F)
- Our proprietary fundamental rating from 0 to 100 points with a school-grade rank from A+ to F. 50 points is the average across the universe, 100 the best possible score. Every stock is scored against all others by percentile: growth in earnings and revenue, earnings surprises, analyst estimates, and quality criteria such as margins, cash flow, and balance-sheet strength. Grades: A+ from 95, A from 75, B from 55, C from 45, D from 25, E from 5, F below — A/A+ are the fundamentally strongest stocks in the universe.
- Gap
- The stock opens well above or below the prior close - a gap appears on the chart. Gaps are caused by overnight news (earnings, contracts, studies) and show that the valuation has shifted abruptly.
- Going Concern
- The assumption in a company's annual report that it can continue operating. If auditors raise "substantial doubt" about this, it is one of the sharpest warnings there is - the company could run out of cash.
- Graham Number (P/E x P/B ≤ 22.5)
- Benjamin Graham's double cap against overpaying: the product of the P/E ratio and the P/B ratio must not exceed 22.5 (e.g., P/E 15 x P/B 1.5). A stock can be a bit pricier on one metric if the other offsets it - but never both at once.
- Hot Theme
- A part of the market that is running hot right now: the stock's industry is among the top 5 by 1-month relative strength - fresh money is rotating in. Hot themes are recalculated with every run, so new trends (e.g., an AI or uranium hype) surface early, while they are still running.
- Insider Buying / Selling
- Purchases and sales of a company's own stock by executives and officers - subject to SEC disclosure in the US. Insiders sell for many reasons (a house, taxes), but they buy for essentially one reason: they think the stock is too cheap.
- Institutions (Funds & Large Holders)
- Funds, pension plans, and asset managers - they move the big money and must disclose their US holdings quarterly. When the number of funds adding to a position rises, that is called institutional accumulation: the fuel behind major trends.
- Interest Coverage
- Operating income divided by interest expense: how many times over can the company pay its interest from ongoing operations? Below 1, earnings do not even cover interest - a serious warning sign.
- Liquidity
- How easily a stock can be bought and sold without moving the price - measured by (dollar) volume. Illiquid stocks have wide spreads and jerky prices; that is why almost every scanner applies a minimum liquidity filter.
- Long / Short
- Long = betting on rising prices (buying the stock). Short = betting on falling prices (selling borrowed shares to buy them back cheaper later). Our short scanners are warning or watch lists - not buy candidates.
- Market Capitalization (Mkt Cap)
- The market value of the company: share price x total shares outstanding, shown here in billions of dollars. Micro caps (< $0.3B) are small and volatile, mega caps (> $200B) are heavyweights. Our scanner universe is deliberately capped at $50B - we look for stocks with room to run.
- Momentum
- The driving force behind a price trend: stocks that have recently risen sharply statistically tend to keep rising more often than not. Momentum strategies therefore buy strength - not perceived bargains.
- Net Margin
- How much of revenue is left as profit? Net income divided by revenue, in percent. A 20% margin means: out of every dollar of revenue, 20 cents is left as profit. Rising margins are a strong quality signal.
- Opening Range High/Low
- The high and low of the first minutes of trading (e.g., the first 5 or 60 minutes). Qullamaggie buys breakouts above the opening-range high and sets the stop at the day's low - an entry with clearly defined risk.
- Operating Cash Flow (OCF)
- The cash that actually flows into the company from day-to-day operations - without accounting effects such as depreciation. A company can report book profits while still burning cash; operating cash flow reveals that.
- P/B (Price-to-Book Ratio)
- Market cap divided by book equity (shareholders' equity). A P/B under 1 means: the company costs less on the market than its book equity - a classic value-investor criterion.
- P/CF (Price-to-Cash-Flow Ratio)
- Market cap divided by operating cash flow over the last 4 quarters. Harder to dress up than the P/E ratio, because it measures real cash flows instead of book profits.
- P/E (Price-to-Earnings Ratio)
- Market cap divided by annual earnings: how many years of earnings does the stock cost? A P/E of 15 means that, at current earnings, the purchase price would be "earned back" after 15 years. Only meaningful within an industry and together with growth.
- P/FCF (Price-to-Free-Cash-Flow Ratio)
- Market cap divided by free cash flow over the last 4 quarters (TTM). A P/FCF of 4 equals a 25% free-cash-flow yield - the lower, the cheaper.
- P/S (Price-to-Sales Ratio)
- Market cap divided by annual revenue. Useful for companies that are not (yet) profitable - but it says nothing about whether that revenue will ever turn into profit.
- PEG (P/E ÷ Earnings Growth)
- The P/E ratio divided by the expected earnings growth rate in percent. Peter Lynch's rule of thumb: a PEG around 1 is fair, well below that is cheap - a stock with a P/E of 20 and 40% growth (PEG 0.5) can be cheaper than one with a P/E of 10 and 5% growth (PEG 2).
- Percentile
- A rank from 1 to 99 relative to every other stock: percentile 95 means the stock beats 95% of the universe on this metric. Our ratings (RS, Stress RS, Funda Rating) are all percentile values.
- Piotroski F-Score
- A balance-sheet health check developed by Joseph Piotroski: 9 yes/no criteria covering earnings, cash flow, leverage, and efficiency produce a score from 0 to 9. Scores of 7 or higher are considered financially very solid, scores under 3 a warning sign.
- Relative Strength (RS Rating)
- How much has a stock risen compared with every other stock? The RS Rating is a percentile from 1 to 99: RS 90 means the stock has outperformed 90% of all stocks (depending on the scanner, over 1 week, 1, 3, 6, or 12 months). Market leaders almost always carry high RS values - that is why relative strength is the core of many momentum strategies.
- Return on Assets (ROA)
- Profit relative to ALL capital employed (equity plus debt). Unlike return on equity, it cannot be flattered by taking on more debt - which is why Greenblatt uses it as a measure of business quality.
- Reverse Split
- A share consolidation, e.g., 10 old shares become 1 new share - the price appears to jump tenfold without the company becoming worth more. Struggling companies use this to avoid looking like a penny stock; we automatically filter out such distorted stocks.
- ROE (Return on Equity)
- Profit divided by equity: how much return does the company generate on its owners' money? Consistently above 15-20% is considered a hallmark of top-tier companies.
- RVOL (Relative Volume)
- Today's trading volume relative to the usual average. RVOL 2 = twice the normal turnover. A volume surge confirms breakouts: without above-average volume, a breakout carries little weight.
- Sector & Industry
- Two levels of industry classification: sector is broad (e.g., Technology), industry is narrow (e.g., Semiconductors). Many strategies watch industry strength, because strong stocks are almost always found in strong industries.
- SMA / Moving Average (10-, 20-, 50-, 200-Day Line)
- The average price of the last X days, plotted as a line on the chart (Simple Moving Average). The 50-day and 200-day lines are the most closely watched: price above the line = uptrend intact. The 30-week line from the Weinstein method corresponds to the 150-day line.
- Stage (Weinstein Stages 1-4)
- Stan Weinstein divides every price chart into four stages: Stage 1 = basing (sideways after a downtrend), Stage 2 = uptrend (the only buying stage), Stage 3 = topping, Stage 4 = downtrend (avoid, or short candidate). Measured against the 30-week line (150-day moving average) and its slope.
- Stress RS (Strength on Stress Days)
- A stress day is a day on which both the overall market and the stock's own sector fell at least 0.5%. Stress RS counts on how many of these days the stock still closed green (shown as "g/n" = green days out of n stress days) and turns that into a rating from 1 to 99. High values point to buyers stepping in even on weak days - often a sign of institutional accumulation.
- Surprise (Earnings/Sales Surprise)
- The gap between reported numbers and the analyst estimate. Positive earnings or sales surprises force analysts to raise their models - which often triggers weeks of follow-on buying.
- Trend Intensity (TI)
- The ratio of the 13-day to the 65-day moving average x 100. Values above roughly 108 show powerful, sustained momentum; the higher, the steeper and smoother the trend.
- TTM (Trailing Twelve Months)
- The sum of the last four quarters - a true rolling fiscal year instead of one annualized quarter. Makes metrics like free cash flow comparable on a seasonally adjusted basis.
- U/D Volume Ratio (Up/Down Volume)
- Trading volume on up days divided by trading volume on down days (typically over 50 days). Values above 1 mean: more volume trades on rising days than on falling days - a sign that large players are accumulating.
- Volatility Contraction (VCP)
- Price swings get tighter from wave to wave - the stock "calms down," often on falling volume. This tightening (Volatility Contraction Pattern, coined by Mark Minervini) shows a balance between supply and demand and often precedes powerful breakouts.
- Webby RSI
- An indicator from Mike Webster (formerly of the O'Neil team): it measures how many ATRs the day's low sits above the 21-day EMA. Under 3 ATR = healthy trend; above that begins the overextended climax zone, where Webster takes partial profits instead of adding.
- YoY (Year-over-Year)
- Year over Year: the quarter is compared with the same quarter of the prior year, not the previous quarter. This removes seasonal effects (holiday shopping, etc.) and is the standard for growth rates.
- YTD (Year to Date)
- The price change since the start of the calendar year. "YTD > 100%" means: the stock has at least doubled so far this calendar year.