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Stocks Making: Stochastic Buy Signal on 2014-07-18
A buy signal is given when the Stochastic is below the 20 oversold line and the %K line crosses above the %D line

Symbol Grade Name % Change Volume Vol Surge
ABBV Grade d AbbVie Inc. 2.60 42,448,432 5.47
WGL Grade d WGL Holdings Inc 2.19 1,114,588 3.90
STR Grade f Questar Corporation 0.51 2,601,423 2.94
DNKN Grade b Dunkin' Brands Group, Inc. 0.57 2,794,154 2.60
SIX Grade b Six Flags Entertainment Corporation New 1.76 1,348,023 2.39
FLIR Grade c FLIR Systems, Inc. 3.04 1,536,988 2.38
INFA Grade b Informatica Corporation 0.78 1,799,481 2.22
HOG Grade d Harley-Davidson, Inc. 2.20 3,082,268 2.11
CRTO Grade b Criteo S.A. - American Depositary Shares 4.66 978,382 2.05
TASR Grade c TASER International, Inc. 8.19 1,993,575 2.05
NRG Grade f NRG Energy, Inc. 1.57 7,278,656 2.00
VVC Grade d Vectren Corporation 0.63 590,315 1.99
PKG Grade b Packaging Corporation of America 1.90 1,454,386 1.99
NFG Grade f National Fuel Gas Company 1.49 734,938 1.99
GEVA Grade d Synageva BioPharma Corp. 2.00 534,670 1.90
MDU Grade f MDU Resources Group, Inc. 2.40 1,067,312 1.80
BLUE Grade b bluebird bio, Inc. 10.24 1,037,220 1.79
RVBD Grade b Riverbed Technology, Inc. 1.20 2,079,345 1.76
WAT Grade a Waters Corporation 2.29 951,488 1.75
TRAK Grade f Dealertrack Technologies, Inc. 0.80 1,172,793 1.68
MPEL Grade d Melco Crown Entertainment Limited - American 1.91 6,268,600 1.66
EHTH Grade f eHealth, Inc. 1.19 545,397 1.65
CAB Grade d Cabela's Inc Class A 2.92 1,208,441 1.65
PBY Grade f Pep Boys-Manny, Moe & Jack (The) 6.16 530,462 1.64
ATO Grade d Atmos Energy Corporation 1.58 834,035 1.62
NBIX Grade a Neurocrine Biosciences, Inc. 4.46 740,749 1.45
BIIB Grade a Biogen Idec Inc. 1.61 1,550,664 1.43
UPL Grade c Ultra Petroleum Corp. 0.44 3,877,382 1.42
PNW Grade d Pinnacle West Capital Corporation 2.21 1,120,003 1.41
ISRG Grade d Intuitive Surgical, Inc. 1.25 664,443 1.40
BMRN Grade a BioMarin Pharmaceutical Inc. 5.88 1,720,659 1.39
AGIO Grade d Agios Pharmaceuticals, Inc. 11.83 512,216 1.38
EAT Grade b Brinker International, Inc. 1.14 1,081,890 1.38
MDVN Grade a Medivation, Inc. 1.35 1,277,197 1.37
FAST Grade f Fastenal Company 0.73 2,272,904 1.36
BKE Grade d Buckle, Inc. (The) 1.77 400,248 1.35
NPSP Grade a NPS Pharmaceuticals, Inc. 7.98 3,029,331 1.30
MDCO Grade b The Medicines Company 1.21 653,731 1.28
WAG Grade a Walgreen Co. 2.55 6,967,198 1.27
BHE Grade f Benchmark Electronics, Inc. 2.98 315,298 1.25
AMGN Grade c Amgen Inc. 2.52 3,477,375 1.25
HSNI Grade d HSN, Inc. 1.32 308,784 1.23
SMTC Grade a Semtech Corporation 2.69 610,408 1.23
ROST Grade a Ross Stores, Inc. 1.80 2,220,104 1.21
FBHS Grade b Fortune Brands Home & Security, Inc. 1.17 1,998,421 1.20
DYN Grade f Dynegy Inc. 0.53 1,223,818 1.18
SRPT Grade d Sarepta Therapeutics, Inc. 5.90 1,711,672 1.15
POOL Grade a Pool Corporation 0.92 288,257 1.14
EV Grade b Eaton Vance Corporation 1.24 1,035,704 1.13
TXRH Grade a Texas Roadhouse, Inc. 1.20 512,139 1.12
WTI Grade f W&T Offshore, Inc. 1.10 769,259 1.11
CAKE Grade d The Cheesecake Factory Incorporated 0.86 735,038 1.11
JCOM Grade a j2 Global, Inc. 2.08 489,675 1.09
FL Grade b Foot Locker, Inc. 3.27 1,527,752 1.09
FLEX Grade a Flextronics International Ltd. 1.48 5,310,103 1.09
TEX Grade c Terex Corporation 1.54 1,583,370 1.08
SYRG Grade f Synergy Resources Corporation 3.23 930,363 1.08
TRMB Grade d Trimble Navigation Limited 1.24 1,585,829 1.07
SYY Grade d Sysco Corporation 0.85 2,580,427 1.06
LECO Grade b Lincoln Electric Holdings, Inc. 1.26 352,780 1.05
ALKS Grade b Alkermes plc 3.96 757,719 1.05
INCY Grade a Incyte Corporation 4.41 1,562,898 1.05
DBD Grade c Diebold, Incorporated 1.62 460,080 1.04
HELE Grade b Helen of Troy Limited 0.57 254,413 1.02
CSGP Grade b CoStar Group, Inc. 2.35 356,564 1.01
SSNC Grade b SS&C Technologies Holdings, Inc. 2.55 313,109 1.00
SGMO Grade b Sangamo BioSciences, Inc. 6.21 885,408 1.00
HSC Grade d Harsco Corporation 2.70 545,342 0.97
PEG Grade c Public Service Enterprise Group Incorporated 0.30 3,393,857 0.96
CLI Grade d Mack-Cali Realty Corporation 1.78 1,043,395 0.96
RMD Grade b ResMed Inc. 1.60 718,894 0.95
FDO Grade a Family Dollar Stores, Inc. 1.79 1,685,553 0.95
PKI Grade a PerkinElmer, Inc. 1.46 647,090 0.95
BID Grade b Sotheby's 3.78 1,004,330 0.95
BF.B Grade b Brown Forman Inc Class B 1.13 310,024 0.95
CONN Grade c Conn's, Inc. 4.20 774,189 0.95
RDN Grade d Radian Group Inc. 1.54 4,024,171 0.95
DAR Grade f Darling International Inc. 2.58 1,067,037 0.94
FINL Grade f The Finish Line, Inc. - Class A 1.59 642,368 0.93
WAFD Grade c Washington Federal, Inc. 2.04 722,993 0.93
ACXM Grade b Acxiom Corporation 2.01 698,086 0.92
NWBI Grade f Northwest Bancshares, Inc. 1.15 383,735 0.92
AEL Grade b American Equity Investment Life Holding Compa 2.08 357,646 0.92
IPXL Grade a Impax Laboratories, Inc. 4.18 517,264 0.91
CLDX Grade b Celldex Therapeutics, Inc. 6.64 2,323,580 0.91
POWI Grade b Power Integrations, Inc. 1.63 254,723 0.90
SANM Grade d Sanmina Corporation 2.87 523,448 0.90
ETR Grade f Entergy Corporation 1.25 1,544,141 0.90
M Grade d Macy's Inc 0.83 2,871,193 0.88
MGM Grade c MGM Resorts International 0.87 5,751,593 0.88
GHL Grade f Greenhill & Co., Inc. 2.62 426,271 0.88
IOC Grade d InterOil Corporation 2.26 239,665 0.87
IRBT Grade d iRobot Corporation 1.00 555,527 0.87
TEF Grade c Telefonica SA 0.92 785,255 0.87
PRTA Grade b Prothena Corporation plc 6.84 335,507 0.87
SAIC Grade a SCIENCE APPLICATIONS INTERNATIONAL CORPORATIO 3.67 315,000 0.87
GSK Grade b GlaxoSmithKline PLC 1.21 1,956,290 0.86
WSM Grade b Williams-Sonoma, Inc. (DE) 1.10 779,188 0.86
BWS Grade d Brown Shoe Company, Inc. 3.00 229,132 0.86
CHS Grade b Chico's FAS, Inc. 2.34 2,203,771 0.85
WPX Grade d WPX Energy, Inc. 2.36 2,453,751 0.85
PBPB Grade b Potbelly Corporation 1.05 622,126 0.84
ACAD Grade a ACADIA Pharmaceuticals Inc. 4.38 976,679 0.84
JNPR Grade b Juniper Networks, Inc. 0.63 4,985,765 0.84
CVG Grade b Convergys Corporation 1.96 466,139 0.84
WR Grade d Westar Energy, Inc. 1.15 765,454 0.83
FRAN Grade d Francesca's Holdings Corporation 1.02 912,979 0.83
TS Grade d Tenaris S.A. American Depositary Shares 1.14 854,490 0.83
LVS Grade d Las Vegas Sands Corp. -0.71 4,117,990 0.83
APAM Grade d Artisan Partners Asset Management Inc. Class 2.21 322,596 0.82
QSII Grade b Quality Systems, Inc. 0.67 467,243 0.82
CATM Grade b Cardtronics, Inc. 1.57 490,852 0.82
BRC Grade b Brady Corporation 1.10 224,309 0.82
FSLR Grade b First Solar, Inc. 1.48 2,349,460 0.81
SAPE Grade a Sapient Corporation 1.94 568,075 0.81
LOGM Grade a LogMein, Inc. 0.45 220,230 0.81
AVA Grade d Avista Corporation 1.28 286,171 0.80
ENV Grade a Envestnet, Inc 4.03 235,409 0.80
IEX Grade b IDEX Corporation 0.92 231,327 0.80
LRN Grade d K12 Inc 1.10 227,824 0.80
CZZ Grade d Cosan Limited Class A 2.54 1,003,432 0.79
EMN Grade c Eastman Chemical Company 0.48 754,911 0.78
EPAM Grade a EPAM Systems, Inc. 1.74 330,633 0.78
PNM Grade d PNM Resources, Inc. (Holding Co.) 1.55 299,671 0.77
MNTA Grade b Momenta Pharmaceuticals, Inc. 4.06 452,983 0.77
ACOR Grade d Acorda Therapeutics, Inc. 2.45 479,613 0.77
SFM Grade b Sprouts Farmers Market, Inc. 1.86 1,042,832 0.76
TKR Grade c Timken Company (The) 0.92 681,993 0.76
NYT Grade b New York Times Company (The) 1.92 650,640 0.76
AXLL Grade b Axiall Corporation 2.41 620,215 0.74
AYI Grade b Acuity Brands Inc (Holding Company) 2.92 405,907 0.73
CRK Grade d Comstock Resources, Inc. 1.72 827,268 0.73
USG Grade d USG Corporation 0.68 1,172,305 0.72
TOT Grade d Total S.A. 2.02 668,519 0.72
DRQ Grade f Dril-Quip, Inc. 1.68 246,165 0.72
MYCC Grade c ClubCorp Holdings, Inc. 1.69 229,680 0.72
LINE Grade d Linn Energy, LLC - Common Units representing 0.85 872,251 0.72
PZZA Grade a Papa John'S International, Inc. 1.34 216,824 0.72
SONC Grade a Sonic Corp. 2.26 589,647 0.72
PLL Grade b Pall Corporation 1.29 341,711 0.71
LPI Grade d Laredo Petroleum Holdings, Inc. 1.93 1,081,914 0.71
STAA Grade d STAAR Surgical Company 2.52 228,466 0.71
PBH Grade b Prestige Brand Holdings, Inc. 2.24 228,671 0.71
LULU Grade a lululemon athletica inc. 0.45 2,497,590 0.71
EXXI Grade d Energy XXI (Bermuda) Limited 2.52 1,307,488 0.71
KERX Grade f Keryx Biopharmaceuticals, Inc. 3.23 1,188,735 0.70
BUD Grade a Anheuser-Busch Inbev SA Sponsored ADR (Belgiu 1.59 737,814 0.69
WAGE Grade b WageWorks, Inc. 3.59 273,484 0.69
VOLC Grade b Volcano Corporation 2.06 436,122 0.69
CLH Grade b Clean Harbors, Inc. 1.26 288,950 0.68
SGY Grade d Stone Energy Corporation 1.32 589,334 0.68
TRLA Grade b Trulia, Inc. 3.39 1,002,069 0.67
ICPT Grade c Intercept Pharmaceuticals, Inc. 3.97 343,768 0.67
DSX Grade d Diana Shipping inc. common stock 1.78 332,838 0.67
POT Grade c Potash Corporation of Saskatchewan Inc. 0.56 2,672,132 0.67
PLCE Grade d The Children's Place Retail Stores, Inc. 2.32 306,396 0.67
FIVE Grade f Five Below, Inc. 3.18 700,747 0.67
ANN Grade d ANN INC. 1.84 409,659 0.67
FMC Grade b FMC Corporation 1.08 716,167 0.66
HW Grade a Headwaters Incorporated 2.96 313,307 0.66
RGC Grade a Regal Entertainment Group Class A 0.20 656,734 0.66
KCG Grade b KCG Holdings, Inc. Class A 2.15 407,015 0.65
BWLD Grade a Buffalo Wild Wings, Inc. 1.94 242,982 0.65
NSIT Grade b Insight Enterprises, Inc. 1.69 172,171 0.65
WDAY Grade b Workday, Inc. 2.04 1,320,812 0.64
APOL Grade f Apollo Group, Inc. - Class A 1.42 990,315 0.64
BJRI Grade b BJ's Restaurants, Inc. 1.40 224,130 0.64
KN Grade f Knowles Corporation 1.18 530,684 0.63
FLS Grade c Flowserve Corporation 1.33 461,176 0.63
FN Grade b Fabrinet Ordinary Shares 3.96 185,349 0.62
ULTA Grade a Ulta Salon, Cosmetics & Fragrance, Inc. 0.77 588,175 0.62
RCPT Grade b Receptos, Inc. 4.23 307,882 0.62
RH Grade d Restoration Hardware Holdings Inc. 3.02 755,308 0.62
MIDD Grade a The Middleby Corporation 1.27 399,657 0.62
DOOR Grade b Masonite International Corporation Ordinary S 1.14 240,218 0.61
TAP Grade c Molson Coors Brewing Company Class B 1.55 1,025,624 0.61
AFOP Grade b Alliance Fiber Optic Products, Inc. 4.56 422,993 0.61
ANF Grade f Abercrombie & Fitch Company 2.61 1,116,564 0.61
OMER Grade d Omeros Corporation 3.08 296,442 0.60
VPRT Grade a Vistaprint N.V. (The Netherlands) 1.18 193,424 0.60
TK Grade f Teekay Corporation 0.39 212,277 0.60
PVH Grade f PVH Corp. 0.35 631,858 0.60
TSU Grade f TIM Participacoes S.A. American Depositary Sh 2.58 602,092 0.60
THRX Grade c Theravance, Inc. 4.09 709,575 0.59
FNF Grade b Fidelity National Financial, Inc. Class A 1.67 1,900,690 0.59
RPXC Grade c RPX Corporation 2.00 173,783 0.59
LNCO Grade d Linn Co, LLC 0.91 696,960 0.58
PTLA Grade b Portola Pharmaceuticals, Inc. 0.92 218,598 0.58
UFS Grade b Domtar Corporation (NEW) 1.85 429,491 0.58
HRG Grade f Harbinger Group Inc 0.51 445,665 0.58
ISIS Grade b Isis Pharmaceuticals, Inc. 4.36 1,551,152 0.57
GXP Grade d Great Plains Energy Incorporated 1.40 616,637 0.57
BCOR Grade c Blucora, Inc. 1.94 293,355 0.57
GNRC Grade b Generac Holdlings Inc. 1.76 721,832 0.57
XLRN Grade b Acceleron Pharma Inc. 4.74 174,061 0.56
ALNY Grade b Alnylam Pharmaceuticals, Inc. 3.46 493,493 0.55
BCC Grade c Boise Cascade, L.L.C. 1.63 256,947 0.55
UIL Grade a UIL Holdings Corporation 1.89 191,493 0.53
GOMO Grade f Sungy Mobile Limited - American Depositary Sh -0.67 142,323 0.53
ISBC Grade a Investors Bancorp, Inc. 2.28 4,178,503 0.53
BLMN Grade a Bloomin' Brands, Inc. 1.47 627,687 0.52
RMTI Grade b Rockwell Medical, Inc. 0.76 183,787 0.52
TRNX Grade c Tornier N.V. 0.60 156,368 0.52
DMND Grade f Diamond Foods, Inc. 3.77 226,942 0.51
DSW Grade b DSW Inc. 2.63 1,313,314 0.49
MGI Grade f Moneygram International, Inc. 3.29 142,628 0.48
AIRM Grade c Air Methods Corporation 2.58 216,160 0.47
BKW Grade b Burger King Worldwide Inc. 0.72 191,995 0.46
ISIL Grade a Intersil Corporation - Class A 2.63 564,020 0.45
VNDA Grade f Vanda Pharmaceuticals Inc. 3.50 403,985 0.45
BSFT Grade a BroadSoft, Inc. 2.07 133,206 0.45
CST Grade a CST Brands, Inc. 1.68 266,230 0.45
VNCE Grade f Vince Holding Corp. 2.95 151,926 0.44
CMGE Grade d China Mobile Games and Entertainment Group Li 5.98 133,541 0.44
LOCK Grade f LifeLock, Inc. 1.94 668,549 0.40
REGI Grade f Renewable Energy Group, Inc. 1.10 243,548 0.35
CMRX Grade b Chimerix, Inc. 6.41 149,524 0.35
MUSA Grade a Murphy USA Inc. 1.78 167,804 0.34
SNY Grade c Sanofi American Depositary Shares (Each repst 1.32 286,944 0.32
HDS Grade b HD Supply Holdings, Inc. 1.28 359,914 0.31
DXPE Grade d DXP Enterprises, Inc. 2.71 76,183 0.30
RAX Grade b Rackspace Hosting, Inc 1.05 978,340 0.24
PF Grade a Pinnacle Foods, Inc. 0.90 490,764 0.21
TSE Grade c Trinseo S.A. Ordinary Shares 1.22 46,545 0.11
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