Stocks Making: Crossed Above 50 DMA on 2017-02-21
Price rose above the 50-day moving average
Symbol Grade Name % Change Volume Vol Surge
LL Grade d Lumber Liquidators Holdings, Inc 17.06 6,047,499 9.11
RBA Grade d Ritchie Bros. Auctioneers Incorporated 12.01 1,986,710 3.25
POR Grade b Portland General Electric Co 1.72 1,548,967 3.13
BSAC Grade c Banco Santander - Chile ADS 1.70 857,881 2.19
K Grade d Kellogg Company 2.52 3,601,247 2.03
MDLZ Grade b Mondelez International, Inc. 5.81 17,096,474 2.00
OII Grade d Oceaneering International, Inc. 5.29 3,005,259 1.97
VECO Grade c Veeco Instruments Inc. 2.54 1,091,415 1.96
REXR Grade c Rexford Industrial Realty, Inc. 1.57 593,471 1.86
TOL Grade c Toll Brothers Inc. 1.59 3,758,439 1.82
MRC Grade c MRC Global Inc. 5.85 1,599,232 1.67
MFS Grade b Manitowoc Food Service, Inc. 4.81 1,208,136 1.66
DSW Grade d DSW Inc. 3.31 2,318,949 1.63
OMI Grade d Owens & Minor, Inc. 3.04 1,053,496 1.60
CRH Grade b CRH PLC 2.86 921,555 1.54
DAN Grade b Dana Holding Corporation When-Issued 2.12 2,163,685 1.52
WDR Grade d Waddell & Reed Financial, Inc. 3.35 1,963,588 1.50
DAR Grade d Darling International Inc. 0.71 1,834,792 1.47
KEP Grade d Korea Electric Power Corporation 6.68 1,022,888 1.38
ELF Grade d e.l.f. Beauty, Inc. 6.12 470,404 1.35
AYI Grade d Acuity Brands Inc (Holding Company) 1.33 1,021,203 1.33
STE Grade c STERIS Corporation 1.84 788,387 1.31
FI Grade d Frank's International N.V. 1.37 976,094 1.29
RPAI Grade d Retail Properties of America, Inc. 3.32 1,935,452 1.27
TPH Grade d Tri Pointe Homes, Inc. 0.83 1,964,019 1.23
AKR Grade d Acadia Realty Trust 2.24 568,651 1.22
NLS Grade d Nautilus, Inc. 2.01 547,896 1.22
SU Grade c Suncor Energy Inc. 0.87 3,707,142 1.21
HST Grade c Host Hotels & Resorts, Inc. 1.63 11,591,941 1.21
CCP Grade d Care Capital Properties, Inc. 1.62 904,745 1.20
KO Grade f Coca-Cola Company (The) 0.56 17,068,719 1.19
EDR Grade d Education Realty Trust, Inc. 1.43 516,755 1.17
AMKR Grade d Amkor Technology, Inc. 2.89 2,041,023 1.15
UVV Grade c Universal Corporation 1.78 502,507 1.14
PEG Grade c Public Service Enterprise Group Incorporated 1.93 2,665,165 1.14
SPR Grade c Spirit Aerosystems Holdings, Inc. 1.67 1,275,281 1.13
RUTH Grade c Ruth's Hospitality Group, Inc. 1.99 296,935 1.12
MNST Grade d Monster Beverage Corporation 0.83 2,649,307 1.11
PX Grade c Praxair, Inc. 0.76 1,600,573 1.09
ATU Grade c Actuant Corporation 1.50 576,483 1.08
TSRA Grade c Tessera Technologies, Inc. 2.05 381,228 1.07
MNR Grade c Monmouth Real Estate Investment Corporation 1.38 333,849 1.07
DRH Grade c Diamondrock Hospitality Company 2.13 2,694,158 1.06
ESRX Grade d Express Scripts Holding Company 2.00 4,550,067 1.05
FNB Grade c F.N.B. Corporation 1.16 2,257,260 1.04
FOR Grade c Forestar Group Inc 1.15 267,846 1.01
SMG Grade c Scotts Miracle-Gro Company (The) 0.94 549,316 0.99
BECN Grade c Beacon Roofing Supply, Inc. 0.51 433,199 0.99
LPG Grade c Dorian LPG Ltd. 7.48 262,550 0.95
CPN Grade d Calpine Corporation 2.35 4,292,984 0.93
BMS Grade d Bemis Company, Inc. 1.15 736,591 0.93
WMS Grade d Advanced Drainage Systems, Inc. 1.12 298,241 0.93
LEG Grade c Leggett & Platt, Incorporated 0.93 852,648 0.91
SEE Grade c Sealed Air Corporation 0.38 1,463,746 0.91
CCK Grade c Crown Holdings, Inc. 1.50 864,156 0.90
QVCA Grade d Liberty Interactive Corporation - Series A 2.12 2,265,534 0.89
SPG Grade d Simon Property Group, Inc. 2.25 1,521,200 0.87
WHR Grade c Whirlpool Corporation 1.37 735,171 0.87
CLI Grade b Mack-Cali Realty Corporation 3.18 487,989 0.86
APFH Grade d AdvancePierre Foods Holdings, Inc. 1.11 409,127 0.86
XOG Grade d Extraction Oil & Gas, Inc. 2.02 980,161 0.85
STAR Grade c iStar Financial Inc. 3.31 349,543 0.84
ANF Grade d Abercrombie & Fitch Company 1.64 2,618,345 0.83
VSH Grade c Vishay Intertechnology, Inc. 2.48 799,652 0.83
IDTI Grade c Integrated Device Technology, Inc. 2.74 1,221,009 0.82
VOD Grade d Vodafone Group Plc 1.55 4,930,439 0.81
AES Grade c The AES Corporation 2.79 4,089,946 0.80
PNR Grade d Pentair, Ltd. Registered Share 2.08 876,079 0.80
RPT Grade f Ramco-Gershenson Properties Trust 1.73 469,285 0.79
PAG Grade c Penske Automotive Group, Inc. 1.40 317,282 0.74
STOR Grade d STORE Capital Corporation 1.57 1,006,119 0.72
GGP Grade d General Growth Properties, Inc. 2.28 3,028,330 0.71
FFIN Grade c First Financial Bankshares, Inc. 1.03 182,713 0.71
BXMT Grade c Blackstone Mortgage Trust, Inc. 0.36 501,265 0.70
COTY Grade d Coty Inc. 1.43 4,355,017 0.68
MNRO Grade d Monro Muffler Brake, Inc. 1.30 192,114 0.67
MTZ Grade b MasTec, Inc. 2.65 518,622 0.66
ATRC Grade d AtriCure, Inc. 1.06 172,194 0.66
AEO Grade d American Eagle Outfitters, Inc. 1.83 2,801,123 0.65
ALJ Grade c Alon USA Energy, Inc. 1.92 445,765 0.63
CPT Grade c Camden Property Trust 1.17 373,238 0.59
NTRS Grade c Northern Trust Corporation 0.99 722,793 0.58
CAA Grade d CalAtlantic Group, Inc. 1.46 714,848 0.57
AWI Grade d Armstrong World Industries Inc 1.61 241,923 0.51
SIMO Grade d Silicon Motion Technology Corporation 1.72 346,308 0.50
SJI Grade b South Jersey Industries, Inc. 1.51 200,762 0.48
RNST Grade c Renasant Corporation 0.78 118,714 0.47
ABM Grade c ABM Industries Incorporated 1.02 169,991 0.30

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