Stocks Making: Stochastic Reached Oversold on 2017-08-18
Stochastic (14, 3, 3) reached oversold levels by dropping below 20
Symbol Grade Name % Change Volume Vol Surge
JKHY Grade c Jack Henry & Associates, Inc. -0.28 848,918 2.14
COLB Grade d Columbia Banking System, Inc. 0.16 584,200 2.06
ACHC Grade c Acadia Healthcare Company, Inc. -0.19 2,127,576 1.92
KRG Grade c Kite Realty Group Trust -1.04 1,403,417 1.90
CBSH Grade d Commerce Bancshares, Inc. -0.20 669,675 1.79
AMP Grade b Ameriprise Financial, Inc. 0.04 1,793,810 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
KFY Grade c Korn/Ferry International -0.69 558,079 1.52
UNM Grade b Unum Group -0.48 1,608,398 1.49
NTAP Grade c NetApp, Inc. -0.53 4,956,457 1.48
CP Grade c Canadian Pacific Railway Limited 0.07 906,733 1.47
DRH Grade d Diamondrock Hospitality Company -2.19 3,292,840 1.43
GBCI Grade d Glacier Bancorp, Inc. 0.27 474,202 1.41
MO Grade d Altria Group, Inc. -0.95 10,159,097 1.36
FBHS Grade c Fortune Brands Home & Security, Inc. -0.30 1,327,532 1.35
UA Grade f Under Armour, Inc. Class C -3.93 5,380,144 1.33
SCSS Grade c Select Comfort Corporation -0.48 1,368,264 1.30
AAN Grade b Aaron's, Inc. 0.23 1,108,686 1.29
SCMP Grade f Sucampo Pharmaceuticals, Inc. 1.99 563,465 1.28
KRNY Grade d Kearny Financial -0.35 379,561 1.22
MDC Grade c M.D.C. Holdings, Inc. -1.26 631,235 1.20
VSH Grade b Vishay Intertechnology, Inc. -0.59 1,542,874 1.20
SKM Grade b SK Telecom Co., Ltd. -1.29 574,918 1.19
RCII Grade b Rent-A-Center Inc. 1.05 1,595,548 1.16
TMK Grade b Torchmark Corporation -0.31 491,037 1.16
LAMR Grade d Lamar Advertising Company -0.50 702,958 1.16
WU Grade d Western Union Company (The) -0.63 3,946,506 1.16
FISV Grade c Fiserv, Inc. -0.60 929,030 1.15
JBLU Grade d JetBlue Airways Corporation -1.02 5,203,606 1.14
CL Grade c Colgate-Palmolive Company -0.39 3,317,539 1.12
SITE Grade c SiteOne Landscape Supply, Inc. -2.43 620,866 1.11
ADP Grade c Automatic Data Processing, Inc. -0.26 5,300,222 1.09
ESPR Grade c Esperion Therapeutics, Inc. -0.53 859,805 1.06
SYNT Grade c Syntel, Inc. -3.95 386,400 1.04
IBKC Grade d IBERIABANK Corporation -0.13 344,978 1.04
IBM Grade f International Business Machines Corporation -0.71 4,147,986 1.03
CVX Grade b Chevron Corporation 0.53 5,463,029 1.02
COLL Grade f Collegium Pharmaceutical, Inc. -2.33 452,851 1.02
EFX Grade b Equifax, Inc. -0.53 530,586 1.02
GS Grade c Goldman Sachs Group, Inc. (The) 0.33 3,148,022 1.01
PCRX Grade f Pacira Pharmaceuticals, Inc. -0.69 755,860 1.01
FAST Grade d Fastenal Company -2.24 3,385,160 1.01
CSRA Grade c CSRA Inc. -0.78 860,002 1.00
ACIW Grade c ACI Worldwide, Inc. 0.33 465,478 0.99
BPFH Grade d Boston Private Financial Holdings, Inc. 0.70 287,223 0.99
SNA Grade f Snap-On Incorporated -0.58 757,656 0.98
GWW Grade f W.W. Grainger, Inc. -1.95 1,000,089 0.97
WFC Grade d Wells Fargo & Company -0.23 17,009,477 0.96
SNV Grade c Synovus Financial Corp. -0.36 780,549 0.96
FN Grade d Fabrinet -1.13 504,760 0.95
NKTR Grade d Nektar Therapeutics -2.06 1,075,725 0.95
JPM Grade b JP Morgan Chase & Co. 0.10 12,935,457 0.95
MAS Grade c Masco Corporation -0.19 2,001,486 0.94
STO Grade b Statoil ASA 1.71 1,858,889 0.93
EXPE Grade c Expedia, Inc. -0.30 1,575,802 0.93
KW Grade d Kennedy-Wilson Holdings Inc. -0.79 772,988 0.92
DGX Grade c Quest Diagnostics Incorporated -0.47 778,719 0.91
MSM Grade f MSC Industrial Direct Company, Inc. -0.83 726,008 0.91
PSA Grade f Public Storage -0.73 781,917 0.91
REI Grade c Ring Energy, Inc. -1.30 487,485 0.90
EV Grade c Eaton Vance Corporation 0.26 477,061 0.90
TRI Grade b Thomson Reuters Corp -0.20 1,459,948 0.90
JKS Grade b JinkoSolar Holding Company Limited 1.04 953,477 0.90
RF Grade d Regions Financial Corporation 0.50 14,193,048 0.90
OMF Grade b OneMain Holdings, Inc. -0.19 394,134 0.89
ITW Grade c Illinois Tool Works Inc. -0.38 1,123,577 0.89
CMA Grade c Comerica Incorporated -0.16 1,523,539 0.89
COF Grade c Capital One Financial Corporation -0.56 2,410,255 0.88
HOMB Grade d Home BancShares, Inc. 0.47 487,645 0.88
FFBC Grade d First Financial Bancorp. -0.83 254,990 0.87
AIZ Grade c Assurant, Inc. -0.31 276,240 0.86
AXON Grade d Axovant Sciences Ltd. -0.19 463,998 0.86
GEO Grade f Geo Group Inc (The) -0.55 723,039 0.86
MOD Grade c Modine Manufacturing Company -0.32 226,367 0.86
CXP Grade f Columbia Property Trust, Inc. -0.90 436,947 0.86
CDW Grade c CDW Corporation -1.71 635,330 0.85
TIME Grade f Time Inc. -1.98 949,396 0.84
BAC Grade b Bank of America Corporation -0.08 60,215,061 0.84
AGIO Grade c Agios Pharmaceuticals, Inc. 0.36 445,941 0.82
PH Grade c Parker-Hannifin Corporation -0.27 867,073 0.82
FLEX Grade d Flextronics International Ltd. -1.83 2,907,706 0.81
UAL Grade d United Continental Holdings 0.08 3,189,855 0.81
WAL Grade d Western Alliance Bancorporation 0.54 458,053 0.81
INVA Grade c Innoviva, Inc. -1.84 713,670 0.80
AMZN Grade c Amazon.com, Inc. -0.22 3,272,173 0.80
VLO Grade c Valero Energy Corporation 0.31 3,082,573 0.80
GOOS Grade f Canada Goose Holdings Inc. -2.50 820,683 0.80
LSXMK Grade b Liberty Media Corporation - Series C Liberty -0.54 483,462 0.79
OMC Grade f Omnicom Group Inc. -1.15 1,402,601 0.79
FMBI Grade d First Midwest Bancorp, Inc. -0.19 555,738 0.78
ABBV Grade c AbbVie Inc. 0.16 3,989,723 0.78
DNKN Grade d Dunkin' Brands Group, Inc. -1.56 1,011,044 0.78
SF Grade c Stifel Financial Corporation 0.85 374,987 0.77
CREE Grade d Cree, Inc. -0.87 781,362 0.76
C Grade b Citigroup, Inc. -0.03 13,624,795 0.76
WHR Grade d Whirlpool Corporation -0.82 607,622 0.76
FIVE Grade c Five Below, Inc. -1.50 764,385 0.76
UCBI Grade d United Community Banks, Inc. 0.31 317,751 0.75
MBFI Grade d MB Financial Inc. -0.44 275,246 0.75
HBAN Grade d Huntington Bancshares Incorporated 0.16 7,073,309 0.75
TRTN Grade c Triton International Limited 0.87 266,497 0.74
CBF Grade d Capital Bank Financial Corp. 0.27 240,334 0.73
WAFD Grade d Washington Federal, Inc. -0.16 302,321 0.73
RGEN Grade c Repligen Corporation 1.26 266,076 0.73
WCC Grade f WESCO International, Inc. -0.50 384,281 0.73
FIBK Grade d First Interstate BancSystem, Inc. -0.14 204,242 0.71
MPWR Grade b Monolithic Power Systems, Inc. 0.03 181,822 0.71
PBCT Grade d People's United Financial, Inc. 0.00 2,014,243 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
TROX Grade b Tronox Limited 0.49 801,174 0.70
INTC Grade b Intel Corporation -0.45 16,224,732 0.70
NUAN Grade d Nuance Communications, Inc. -1.01 1,961,398 0.70
CSL Grade f Carlisle Companies Incorporated -0.44 383,044 0.69
CXW Grade f Corrections Corporation of America -0.69 619,939 0.69
WST Grade d West Pharmaceutical Services, Inc. -0.19 249,608 0.69
EMR Grade d Emerson Electric Company -0.50 2,063,512 0.68
TRTX Grade f TPG RE Finance Trust, Inc. 0.05 172,977 0.67
NMFC Grade d New Mountain Finance Corporation -0.35 201,352 0.67
KEYS Grade b Keysight Technologies Inc. -1.08 714,385 0.67
TCF Grade d TCF Financial Corporation 0.40 1,024,047 0.66
GILD Grade b Gilead Sciences, Inc. -0.32 6,032,906 0.66
XLNX Grade c Xilinx, Inc. -0.49 1,684,912 0.65
MGM Grade c MGM Resorts International 0.66 6,372,041 0.64
ADS Grade d Alliance Data Systems Corporation -0.78 393,619 0.63
CVBF Grade d CVB Financial Corporation 0.20 210,178 0.63
AWI Grade b Armstrong World Industries Inc 0.11 279,776 0.62
PSDO Grade f Presidio, Inc. -0.98 158,669 0.62
CAE Grade c CAE Inc. -1.15 165,433 0.61
GWB Grade d Great Western Bancorp, Inc. -0.30 164,036 0.60
IIVI Grade c II-VI Incorporated 0.57 295,795 0.60
PDM Grade d Piedmont Office Realty Trust, Inc. -0.94 374,294 0.58
KMX Grade b CarMax Inc 0.00 1,230,378 0.58
XPO Grade c XPO Logistics, Inc. 0.23 1,266,504 0.58
PWR Grade c Quanta Services, Inc. 0.62 998,922 0.58
FHN Grade d First Horizon National Corporation -0.12 1,573,984 0.58
TYPE Grade d Monotype Imaging Holdings Inc. -0.82 152,622 0.58
EWBC Grade c East West Bancorp, Inc. -0.33 511,225 0.57
ITT Grade d ITT Corporation -0.76 296,125 0.57
LOGI Grade c Logitech International S.A. -0.75 302,164 0.55
DAN Grade b Dana Holding Corporation 0.18 915,231 0.54
MNTA Grade d Momenta Pharmaceuticals, Inc. -0.97 337,723 0.54
FOXA Grade d Twenty-First Century Fox, Inc. - Class A -0.33 4,691,214 0.54
CAA Grade d CalAtlantic Group, Inc. -2.09 726,680 0.52
TDG Grade b Transdigm Group Inc. -0.58 241,138 0.52
HDS Grade f HD Supply Holdings, Inc. 0.23 2,058,755 0.52
MSCC Grade c Microsemi Corporation -0.22 701,810 0.52
SFL Grade c Ship Finance International Limited 0.00 490,561 0.51
STX Grade f Seagate Technology. -0.44 2,881,427 0.51
ETE Grade d Energy Transfer Equity, L.P. -0.48 2,904,452 0.50
ACIA Grade c Acacia Communications, Inc. -0.25 439,234 0.49
SLAB Grade b Silicon Laboratories, Inc. -0.20 140,322 0.47
BKU Grade d BankUnited, Inc. -0.48 401,859 0.45
STAY Grade c Extended Stay America, Inc. -0.11 1,043,939 0.44
GRFS Grade c Grifols, S.A. -0.79 228,892 0.43
PLYA Grade f Playa Hotels & Resorts N.V. -0.27 160,664 0.43
PNFP Grade d Pinnacle Financial Partners, Inc. -0.50 347,213 0.42
HAIN Grade b The Hain Celestial Group, Inc. -0.75 1,109,141 0.41
PRTK Grade d Paratek Pharmaceuticals, Inc. -1.27 245,891 0.37
NTB Grade c Bank of N.T. Butterfield & Son Limited 0.37 145,799 0.36

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