Stocks Making: Doji - Bullish? on 2017-08-18
Doji candlesticks form when a stock's open and close are virtually equal. They show a stalemate / indecision between bulls and bears. A doji after a downtrend may signal a reversal
Symbol Grade Name % Change Volume Vol Surge
AMC Grade f AMC Entertainment Holdings, Inc. -1.14 7,119,473 2.70
NKE Grade b Nike, Inc. -4.37 22,863,116 2.44
LPT Grade c Liberty Property Trust -0.19 1,369,626 2.15
SLGN Grade c Silgan Holdings, Inc. 0.10 920,547 1.96
KRG Grade c Kite Realty Group Trust -1.04 1,403,417 1.90
JOE Grade a St. Joe Company (The) -0.52 506,961 1.81
HTH Grade d Hilltop Holdings Inc. -0.65 502,733 1.74
AMP Grade b Ameriprise Financial, Inc. 0.04 1,793,810 1.71
TRVG Grade f trivago N.V. -0.66 2,474,953 1.71
CNO Grade b CNO Financial Group, Inc. -0.89 1,984,185 1.66
CHFC Grade d Chemical Financial Corporation -0.86 508,111 1.61
SWK Grade c Stanley Black & Decker, Inc. -0.45 1,511,093 1.53
KFY Grade c Korn/Ferry International -0.69 558,079 1.52
MLM Grade d Martin Marietta Materials, Inc. 0.06 862,432 1.51
TMST Grade d Timken Steel Corporation -0.27 612,819 1.46
DY Grade d Dycom Industries, Inc. -0.71 755,628 1.40
PRAA Grade f Portfolio Recovery Associates, Inc. -1.14 650,479 1.37
FBHS Grade c Fortune Brands Home & Security, Inc. -0.30 1,327,532 1.35
PEI Grade f Pennsylvania Real Estate Investment Trust -1.44 2,247,136 1.33
SPGI Grade b S&P Global Inc. 0.09 1,601,856 1.32
SCSS Grade c Select Comfort Corporation -0.48 1,368,264 1.30
NWSA Grade c News Corporation - Class A 0.30 2,004,745 1.28
AON Grade b Aon plc -0.13 1,345,602 1.27
PNK Grade c Pinnacle Entertainment, Inc. -0.46 526,502 1.25
SWX Grade b Southwest Gas Corporation -0.43 371,658 1.22
VSH Grade b Vishay Intertechnology, Inc. -0.59 1,542,874 1.20
PCAR Grade d PACCAR Inc. -0.24 1,978,135 1.17
TRNO Grade b Terreno Realty Corporation -0.77 427,790 1.16
LAMR Grade d Lamar Advertising Company -0.50 702,958 1.16
KKR Grade c KKR & Co. L.P. 0.61 3,505,855 1.16
PAA Grade f Plains All American Pipeline, L.P. -0.68 4,014,272 1.16
RBC Grade c Regal Beloit Corporation -0.46 317,824 1.14
PACW Grade d PacWest Bancorp -0.41 1,021,516 1.14
SWIR Grade f Sierra Wireless, Inc. -0.46 593,581 1.13
XL Grade b XL Group plc -0.39 1,644,772 1.12
WWW Grade c Wolverine World Wide, Inc. -1.34 774,830 1.11
PRTA Grade d Prothena Corporation plc -1.16 343,889 1.09
CARB Grade d Carbonite, Inc. 0.00 486,275 1.08
AGU Grade b Agrium Inc. -0.02 539,583 1.08
USCR Grade b U S Concrete, Inc. -0.45 270,314 1.07
YUM Grade b Yum! Brands, Inc. -0.17 2,053,563 1.07
BERY Grade a Berry Plastics Group, Inc. -0.77 937,545 1.07
ATSG Grade c Air Transport Services Group, Inc -0.74 457,154 1.06
ESPR Grade c Esperion Therapeutics, Inc. -0.53 859,805 1.06
HI Grade c Hillenbrand Inc -0.84 276,761 1.05
BUD Grade b Anheuser-Busch Inbev SA Sponsored ADR (Belgiu -0.49 1,445,861 1.04
BIDU Grade b Baidu, Inc. -0.16 3,053,687 1.03
FLR Grade f Fluor Corporation -0.26 1,722,442 1.03
CVLT Grade b CommVault Systems, Inc. -0.60 325,212 1.02
PCRX Grade f Pacira Pharmaceuticals, Inc. -0.69 755,860 1.01
BIG Grade c Big Lots, Inc. -0.60 847,049 1.01
VFC Grade a V.F. Corporation -0.49 2,642,098 1.01
SON Grade f Sonoco Products Company -0.41 543,166 1.01
PCLN Grade c priceline.com Incorporated -0.16 484,832 1.00
SCHW Grade d Charles Schwab Corporation (The) -0.40 6,571,942 0.99
AI Grade f Arlington Asset Investment Corp -0.46 413,267 0.99
SNA Grade f Snap-On Incorporated -0.58 757,656 0.98
NMIH Grade b NMI Holdings Inc -0.87 371,692 0.98
GMLP Grade d Golar LNG Partners LP -0.05 263,430 0.97
CALM Grade d Cal-Maine Foods, Inc. -0.84 326,636 0.97
RGA Grade b Reinsurance Group of America, Incorporated -0.49 264,562 0.96
PNR Grade d Pentair, Ltd. Registered Share -0.64 720,884 0.96
CONN Grade c Conn's, Inc. -0.27 527,754 0.96
RVT Grade c Royce Value Trust, Inc. -0.14 250,800 0.96
SNV Grade c Synovus Financial Corp. -0.36 780,549 0.96
WFC Grade d Wells Fargo & Company -0.23 17,009,477 0.96
SERV Grade a ServiceMaster Global Holdings, Inc. -0.04 1,245,530 0.95
LVS Grade c Las Vegas Sands Corp. -0.17 2,830,201 0.95
IDCC Grade f InterDigital, Inc. -0.36 293,591 0.95
BHGE Grade f Baker Hughes, a GE company -0.09 3,248,295 0.95
SUN Grade b Sunoco LP -0.16 312,303 0.94
BG Grade c Bunge Limited -0.79 990,481 0.94
WMB Grade d Williams Companies, Inc. (The) -0.03 4,842,778 0.93
HTLD Grade c Heartland Express, Inc. -0.52 383,421 0.93
KW Grade d Kennedy-Wilson Holdings Inc. -0.79 772,988 0.92
KLXI Grade c KLX Inc. -0.37 345,720 0.92
EQC Grade d Equity Commonwealth -0.39 487,919 0.91
WY Grade d Weyerhaeuser Company -0.35 2,738,562 0.90
OUT Grade d OUTFRONT Media Inc. -0.32 589,192 0.90
EV Grade c Eaton Vance Corporation 0.26 477,061 0.90
FFBC Grade d First Financial Bancorp. -0.83 254,990 0.87
RPAI Grade c Retail Properties of America, Inc. -0.23 1,375,919 0.87
ALKS Grade d Alkermes plc -0.04 701,043 0.87
BX Grade c The Blackstone Group L.P. -0.25 3,227,214 0.87
CORE Grade f Core-Mark Holding Company, Inc. -1.19 235,478 0.86
AIZ Grade c Assurant, Inc. -0.31 276,240 0.86
CSX Grade c CSX Corporation -0.20 6,907,756 0.86
LEG Grade d Leggett & Platt, Incorporated -0.24 709,191 0.85
PTCT Grade d PTC Therapeutics, Inc. -0.34 586,946 0.85
JNJ Grade c Johnson & Johnson -0.31 4,661,365 0.85
TMO Grade c Thermo Fisher Scientific Inc -0.19 1,182,702 0.84
FMC Grade b FMC Corporation -0.18 885,445 0.83
AGIO Grade c Agios Pharmaceuticals, Inc. 0.36 445,941 0.82
RTN Grade a Raytheon Company -0.20 1,096,408 0.82
CNQ Grade c Canadian Natural Resources Limited 0.10 1,941,949 0.81
HMSY Grade d HMS Holdings Corp -0.51 433,907 0.81
UAL Grade d United Continental Holdings 0.08 3,189,855 0.81
YRD Grade a Yirendai Ltd. 1.42 498,120 0.80
PLAY Grade d Dave & Buster's Entertainment, Inc. -0.73 473,842 0.80
SHW Grade c Sherwin-Williams Company (The) -0.18 553,832 0.80
LEA Grade c Lear Corporation -0.17 546,340 0.79
LSXMK Grade b Liberty Media Corporation - Series C Liberty -0.54 483,462 0.79
HUBB Grade d Hubbell Inc -0.40 224,983 0.79
VMC Grade d Vulcan Materials Company (Holding Company) -0.12 922,633 0.79
CA Grade c CA Inc. -0.03 2,864,650 0.78
ORI Grade d Old Republic International Corporation -0.36 975,945 0.78
GOOG Grade c Alphabet Inc. - Class C -0.03 1,341,071 0.77
GPN Grade b Global Payments Inc. 0.10 773,087 0.77
RDN Grade c Radian Group Inc. -1.07 1,079,276 0.77
TPC Grade d Tutor Perini Corporation -1.43 227,916 0.76
SOHU Grade b Sohu.com Inc. -0.32 248,457 0.76
TEN Grade f Tenneco Inc. -0.82 472,754 0.76
MMP Grade f Magellan Midstream Partners L.P. Limited Part -0.02 526,289 0.76
BOBE Grade c Bob Evans Farms, Inc. -0.42 227,870 0.75
ROIC Grade c Retail Opportunity Investments Corp. -1.55 729,308 0.75
CF Grade d CF Industries Holdings, Inc. -0.45 3,388,700 0.75
WEX Grade d WEX Inc. -0.29 347,766 0.74
KN Grade d Knowles Corporation -0.91 696,398 0.74
AMCX Grade b AMC Networks Inc. -0.25 576,534 0.73
AL Grade b Air Lease Corporation -0.15 574,316 0.73
FEYE Grade c FireEye, Inc. -0.07 3,930,798 0.72
TAP Grade c Molson Coors Brewing Company Class B -0.24 1,091,526 0.72
MPWR Grade b Monolithic Power Systems, Inc. 0.03 181,822 0.71
HRI Grade f Herc Holdings Inc. -0.51 263,920 0.71
ENBL Grade d Enable Midstream Partners, LP -2.44 182,603 0.71
AMG Grade b Affiliated Managers Group, Inc. -0.09 267,741 0.71
PBCT Grade d People's United Financial, Inc. 0.00 2,014,243 0.71
SGMS Grade b Scientific Games Corp -0.44 992,390 0.69
CSL Grade f Carlisle Companies Incorporated -0.44 383,044 0.69
WSR Grade c Whitestone REIT -0.63 246,956 0.69
NAVI Grade d Navient Corporation -0.29 1,601,152 0.69
OSK Grade b Oshkosh Corporation -0.68 485,281 0.69
BPMC Grade d Blueprint Medicines Corporation -0.89 319,070 0.68
ESRX Grade f Express Scripts Holding Company -0.79 2,382,672 0.68
WTR Grade a Aqua America, Inc. -0.06 364,565 0.68
MTG Grade b MGIC Investment Corporation -1.14 1,918,642 0.68
CAMP Grade c CalAmp Corp. -0.56 207,013 0.67
NMFC Grade d New Mountain Finance Corporation -0.35 201,352 0.67
ICPT Grade f Intercept Pharmaceuticals, Inc. -0.11 302,612 0.67
CRUS Grade d Cirrus Logic, Inc. -0.22 741,014 0.67
SBNY Grade d Signature Bank -0.29 316,910 0.66
AVY Grade b Avery Dennison Corporation -0.13 411,762 0.66
SAP Grade b SAP AG ADS 0.26 488,272 0.66
ABY Grade b Abengoa Yield plc -0.14 509,255 0.65
PANW Grade d Palo Alto Networks, Inc. -0.22 743,802 0.65
GKOS Grade d Glaukos Corporation -0.37 333,844 0.64
SINA Grade a Sina Corporation 0.24 691,266 0.63
BKD Grade f Brookdale Senior Living Inc. -0.41 1,860,501 0.62
THO Grade c Thor Industries, Inc. 0.14 326,861 0.61
MUR Grade f Murphy Oil Corporation -0.21 2,415,848 0.60
IPHI Grade f Inphi Corporation -0.54 622,587 0.60
ACAD Grade b ACADIA Pharmaceuticals Inc. 0.16 908,919 0.60
HUM Grade b Humana Inc. -0.15 753,858 0.60
NS Grade f Nustar Energy L.P. -0.23 250,647 0.59
RLGY Grade b Realogy Holdings Corp. -0.50 764,568 0.59
DFRG Grade d Del Frisco's Restaurant Group, Inc. -0.68 148,977 0.59
IEX Grade b IDEX Corporation -0.55 177,616 0.59
CBB Grade b Cincinnati Bell Inc. -0.73 277,672 0.58
BDC Grade d Belden Inc -0.53 156,217 0.58
PWR Grade c Quanta Services, Inc. 0.62 998,922 0.58
EWBC Grade c East West Bancorp, Inc. -0.33 511,225 0.57
TXRH Grade c Texas Roadhouse, Inc. -0.51 354,140 0.57
AMGN Grade c Amgen Inc. -0.31 1,738,965 0.57
GWR Grade d Genesee & Wyoming Inc. -0.15 220,652 0.56
SYNA Grade f Synaptics Incorporated -0.35 676,055 0.56
GVA Grade d Granite Construction Incorporated -1.20 233,861 0.56
TKR Grade d Timken Company (The) -1.15 437,653 0.55
GOV Grade d Government Properties Income Trust -0.60 959,772 0.55
NGG Grade b National Grid Transco, PLC -0.10 243,817 0.54
RMBS Grade c Rambus, Inc. -0.47 483,415 0.54
MNTA Grade d Momenta Pharmaceuticals, Inc. -0.97 337,723 0.54
RESI Grade d Altisource Residential Corporation -0.81 224,932 0.54
SCS Grade f Steelcase Inc. -0.77 493,866 0.52
TDG Grade b Transdigm Group Inc. -0.58 241,138 0.52
ST Grade b Sensata Technologies Holding N.V. -0.25 775,450 0.51
GLYC Grade d GlycoMimetics, Inc. 0.38 269,699 0.50
STWD Grade c Starwood Property Trust Inc. 0.00 887,625 0.49
AAOI Grade d Applied Optoelectronics, Inc. -0.64 1,951,279 0.48
JUNO Grade c Juno Therapeutics, Inc. -0.26 788,577 0.48
SLAB Grade b Silicon Laboratories, Inc. -0.20 140,322 0.47
BRKR Grade c Bruker Corporation 0.00 311,018 0.47
WTTR Grade a Select Energy Services, Inc. -0.64 162,122 0.47
TSEM Grade b Tower Semiconductor Ltd. -0.16 355,912 0.44
STAY Grade c Extended Stay America, Inc. -0.11 1,043,939 0.44
FNFV Grade b FNFV Group of Fidelity National Financial, In -0.60 163,030 0.43
BFAM Grade b Bright Horizons Family Solutions Inc. -0.39 156,699 0.41
SNI Grade b Scripps Networks Interactive, Inc 0.11 1,328,895 0.41
USFD Grade d US Foods Holding Corp. -0.34 955,730 0.41
HAE Grade b Haemonetics Corporation -0.67 141,983 0.41
TER Grade a Teradyne, Inc. 0.39 1,313,558 0.40
LVNTA Grade b Liberty Interactive Corporation - Series A Li -0.28 271,576 0.40
LIVN Grade b LivaNova PLC -0.46 213,309 0.35
BWP Grade f Boardwalk Pipeline Partners LP -0.07 242,879 0.33
CMTA Grade f Clementia Pharmaceuticals Inc. -0.25 169,687 0.29
ARNA Grade b Arena Pharmaceuticals, Inc. -0.24 362,676 0.27
RMP Grade d Rice Midstream Partners LP 0.10 196,054 0.26

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