Stocks Making: Stochastic Reached Overbought on 2017-06-26
Stochastic (14, 3, 3) reached overbought levels by rising above 80
Symbol Grade Name % Change Volume Vol Surge
SCHN Grade b Schnitzer Steel Industries, Inc. 4.40 1,450,642 3.20
REGI Grade a Renewable Energy Group, Inc. 2.40 1,189,639 2.87
RGEN Grade b Repligen Corporation 2.58 725,186 2.43
XYL Grade a Xylem Inc. 0.64 2,000,781 1.63
AI Grade b Arlington Asset Investment Corp 1.21 599,578 1.59
IPGP Grade a IPG Photonics Corporation 0.82 462,300 1.55
NRG Grade b NRG Energy, Inc. 1.44 8,019,264 1.53
MDRX Grade b Allscripts Healthcare Solutions, Inc. -1.17 3,547,924 1.37
QCP Grade a Quality Care Properties, Inc. -0.11 1,171,721 1.37
VMC Grade b Vulcan Materials Company (Holding Company) 0.98 1,457,562 1.37
SEM Grade a Select Medical Holdings Corporation 2.71 953,640 1.35
COTV Grade d Cotiviti Holdings, Inc. 1.63 362,625 1.33
ARE Grade a Alexandria Real Estate Equities, Inc. 0.56 929,325 1.30
BID Grade a Sotheby's 0.78 697,728 1.28
DXC Grade c DXC Technology Company 0.50 2,752,296 1.27
MDSO Grade b Medidata Solutions, Inc. -2.72 862,368 1.26
NTNX Grade a Nutanix, Inc. 2.28 4,286,525 1.23
G Grade a Genpact Limited 1.05 1,113,809 1.22
SHPG Grade d Shire plc 0.23 1,354,852 1.21
BMO Grade b Bank Of Montreal 0.24 622,546 1.20
PRTK Grade a Paratek Pharmaceuticals, Inc. 3.58 748,241 1.20
MT Grade d Arcelor Mittal 0.94 8,903,537 1.19
RCI Grade a Rogers Communication, Inc. 1.01 344,813 1.18
CWST Grade a Casella Waste Systems, Inc. 2.60 290,622 1.16
TSN Grade c Tyson Foods, Inc. -0.05 3,241,484 1.10
OMF Grade d OneMain Holdings, Inc. 0.88 620,453 1.08
SKX Grade b Skechers U.S.A., Inc. -0.66 3,671,947 1.06
SNE Grade a Sony Corporation 0.42 1,065,269 1.05
FMX Grade a Fomento Economico Mexicano S.A.B. de C.V. 1.33 370,197 1.05
PENN Grade a Penn National Gaming, Inc. 1.24 1,395,137 1.05
STE Grade a STERIS Corporation 0.73 582,846 1.03
QTS Grade b QTS Realty Trust, Inc. -0.11 400,518 1.01
SHW Grade a Sherwin-Williams Company (The) 0.53 606,900 1.01
WING Grade b Wingstop Inc. 1.26 564,410 0.99
TDOC Grade b Teladoc, Inc. -0.97 984,064 0.98
KBR Grade b KBR, Inc. 1.79 2,320,791 0.98
SNR Grade c New Senior Investment Group Inc. 1.89 601,453 0.97
PLD Grade a ProLogis, Inc. 0.92 2,389,676 0.93
BOX Grade b Box, Inc. -0.26 1,829,371 0.93
ARW Grade a Arrow Electronics, Inc. 0.63 436,887 0.92
COG Grade c Cabot Oil & Gas Corporation 2.36 6,239,376 0.92
INFN Grade b Infinera Corporation -0.42 1,758,870 0.91
CREE Grade b Cree, Inc. -0.24 1,157,542 0.91
CIM Grade b Chimera Investment Corporation 0.10 1,640,685 0.90
LULU Grade c lululemon athletica inc. 0.23 2,965,368 0.87
AFSI Grade d AmTrust Financial Services, Inc. 1.53 2,452,389 0.87
SRG Grade c Seritage Growth Properties 0.71 289,452 0.86
DGX Grade a Quest Diagnostics Incorporated 0.32 823,335 0.85
MCK Grade b McKesson Corporation 0.39 1,563,143 0.84
SHO Grade a Sunstone Hotel Investors, Inc. 0.85 1,765,436 0.84
FSLR Grade b First Solar, Inc. 1.08 2,755,282 0.83
RYN Grade a Rayonier Inc. REIT -0.07 454,391 0.82
PII Grade b Polaris Industries Inc. 1.85 610,759 0.82
ACC Grade b American Campus Communities Inc 0.47 513,539 0.81
DY Grade d Dycom Industries, Inc. 0.71 718,054 0.78
PMT Grade a PennyMac Mortgage Investment Trust 0.00 352,031 0.77
SAP Grade a SAP AG ADS -0.40 568,891 0.76
AERI Grade b Aerie Pharmaceuticals, Inc. 0.00 480,592 0.76
LCI Grade f Lannett Co Inc 3.76 538,388 0.75
LKSD Grade f LSC Communications, Inc. -0.46 282,044 0.74
BKFS Grade c Black Knight Financial Services, Inc. 0.63 222,209 0.74
ILMN Grade c Illumina, Inc. -2.37 715,929 0.72
UBNT Grade c Ubiquiti Networks, Inc. 0.45 388,936 0.71
VIRT Grade b Virtu Financial, Inc. 2.28 418,847 0.69
BZH Grade c Beazer Homes USA, Inc. 0.46 393,670 0.68
MHK Grade a Mohawk Industries, Inc. 0.06 297,884 0.67
HYH Grade b Halyard Health, Inc. 0.50 252,619 0.67
ENB Grade d Enbridge Inc 0.61 2,429,683 0.65
WLH Grade b Lyon William Homes (Class A) 0.68 169,217 0.64
AMT Grade b American Tower Corporation (REIT) 0.44 1,232,898 0.64
XHR Grade a Xenia Hotels & Resorts, Inc. 0.45 426,597 0.63
PBH Grade c Prestige Brand Holdings, Inc. 1.24 278,423 0.61
SNH Grade b Senior Housing Properties Trust 1.01 986,419 0.61
EPC Grade b Edgewell Personal Care Company -0.27 360,304 0.60
BOBE Grade b Bob Evans Farms, Inc. -1.01 191,968 0.59
AKAM Grade d Akamai Technologies, Inc. -0.84 1,631,634 0.59
TROW Grade b T. Rowe Price Group, Inc. 0.12 1,025,585 0.58
BIP Grade a Brookfield Infrastructure Partners LP Limited 0.34 175,787 0.57
MAG Grade c Mag Silver Corporation 0.92 343,117 0.56
BLKB Grade a Blackbaud, Inc. -0.28 148,037 0.54
GWRE Grade a Guidewire Software, Inc. -0.80 244,874 0.54
ALGN Grade b Align Technology, Inc. -1.19 770,327 0.54
MAS Grade a Masco Corporation 0.00 1,490,544 0.53
SNY Grade a Sanofi 0.53 1,089,619 0.53
AVY Grade a Avery Dennison Corporation 0.14 315,068 0.52
PSTG Grade b Pure Storage, Inc. -1.11 1,062,934 0.52
KND Grade b Kindred Healthcare, Inc. 1.80 586,137 0.50
STMP Grade a Stamps.com Inc. 1.48 316,779 0.49
MUSA Grade b Murphy USA Inc. -0.23 251,832 0.49
KNX Grade b Knight Transportation, Inc. 0.14 698,851 0.49
BR Grade a Broadridge Financial Solutions, Inc. 0.12 244,248 0.48
VFC Grade b V.F. Corporation 1.22 1,494,247 0.47
PBYI Grade b Puma Biotechnology Inc 0.29 890,610 0.47
NVO Grade b Novo Nordisk A/S -0.11 1,022,909 0.45
IRM Grade c Iron Mountain Incorporated 0.67 524,608 0.43
FCPT Grade a Four Corners Property Trust, Inc. -0.31 159,020 0.43
NKTR Grade c Nektar Therapeutics -1.28 617,351 0.42
COWN Grade b Cowen Group, Inc. 0.61 165,792 0.40
NTRI Grade b NutriSystem Inc 0.38 253,536 0.38
WSR Grade c Whitestone REIT 0.97 285,061 0.37
WETF Grade b WisdomTree Investments, Inc. 1.20 879,735 0.37
MEDP Grade c Medpace Holdings, Inc. -0.61 76,772 0.29
ASPS Grade f Altisource Portfolio Solutions S.A. -0.18 104,048 0.16

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