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A curated view of large, liquid U.S. stocks. Ideal as a starting point before refining by industry, momentum, or valuation.

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Higher-volatility small cap stocks with sufficient liquidity.

Small Cap Volatility Aggressive

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Small Cap Momentum 7D

Undervalued Large Caps

Large cap stocks with conservative valuation metrics and strong liquidity.

Large Cap Value

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Stable, highly liquid large caps designed to anchor long-term portfolios.

Long-Term Quality Low Vol

Low Volatility Leaders

Large, liquid U.S. stocks with lower recent volatility. Designed for conservative watchlists and steadier positioning.

Low Vol Large Cap Stability

High Relative Volume Breakouts

Stocks showing unusually high relative volume versus their recent average. Useful for identifying names with fresh participation.

Volume Momentum Breakouts

Trend Continuation (Above Key MAs)

Stocks in established uptrends, trading above key moving averages. Built for trend-following and continuation watchlists.

Technical Trend Momentum

Mean Reversion (Quality Names)

Oversold signals inside longer-term uptrends. Designed to surface pullbacks in stronger, more established names.

Mean Reversion RSI Quality

High Dividend Yield (Sustainable)

Higher-yield stocks with basic sustainability constraints. Designed to avoid obvious yield traps using simple balance sheet checks.

Dividend Income Fundamental

High Dividend Yield (Sustainable)

200 stocks • Updated 04:18

Ticker Name Industry Price Market Cap Volume Change Change % Trend
PK Park Hotels & Resorts Inc. Common Stock Hotels and Other Lodging Places $14.050000 $2.83B 6.94M -0.05 -0.36% DOWN
PPC Pilgrims Pride Corporation Food and Kindred Products $29.880000 $7.11B 1.99M +0.91 +3.14% UP
PRU Prudential Financial, Inc. Insurance Carriers $104.620000 $36.34B 2.18M +1.30 +1.26% UP
PSA Public Storage Holding and Other Investment Offices $309.680000 $54.36B 842.88K +3.02 +0.98% UP
QSR Restaurant Brands International Inc. Eating and Drinking Places $72.660000 $25.21B 5.77M +0.83 +1.16% UP
REG Regency Centers Corporation Holding and Other Investment Offices $77.720000 $14.23B 1.58M +1.04 +1.36% UP
REXR REXFORD INDUSTRIAL REALTY, INC. Holding and Other Investment Offices $34.070000 $7.69B 1.74M -0.15 -0.44% DOWN
REYN Reynolds Consumer Products Inc. Common Stock Paper and Allied Products $22.460000 $4.73B 916.00K +0.78 +3.60% UP
RF Regions Financial Corp. Depository Institutions $28.540000 $24.36B 9.46M +0.11 +0.39% UP
RHI Robert Half Inc. Business Services $31.260000 $3.20B 1.68M -0.34 -1.08% DOWN
RITM Rithm Capital Corp. Holding and Other Investment Offices $9.130000 $5.10B 3.62M -0.07 -0.76% DOWN
RLI RLI Corp. Insurance Carriers $52.380000 $4.82B 915.85K +2.03 +4.03% UP
RRR Red Rock Resorts, Inc. Class A Common Stock Hotels and Other Lodging Places $57.390000 $3.36B 768.81K +0.66 +1.16% UP
RUN Sunrun Inc - $13.355000 $3.19B 9.50M -1.46 -9.88% DOWN
RYN Rayonier Inc. Holding and Other Investment Offices $20.970000 $6.31B 2.33M -0.05 -0.24% DOWN
SBRA Sabra Healthcare REIT, Inc. Holding and Other Investment Offices $18.460000 $4.66B 5.13M +0.82 +4.64% UP
SEM SELECT MEDICAL HOLDINGS CORP - $16.540000 $2.05B 465.09K +0.05 +0.30% UP
SJM The J.M. Smucker Company Food and Kindred Products $103.540000 $11.04B 1.84M +2.42 +2.39% UP
SLG SL Green Realty Corp. Holding and Other Investment Offices $47.830000 $3.40B 1.15M +0.71 +1.51% UP
SMG The Scotts Miracle-Gro Company - $57.670000 $3.36B 812.66K +0.84 +1.48% UP
SON Sonoco Products Company - $47.490000 $4.70B 1.08M -0.35 -0.73% DOWN
SPG Simon Property Group, Inc. Holding and Other Investment Offices $210.310000 $68.20B 1.41M +4.09 +1.98% UP
SR Spire Inc. Electric, Gas, and Sanitary Services $82.380000 $4.87B 712.02K +1.28 +1.58% UP
STEP StepStone Group Inc. Class A Common Stock Security and Commodity Brokers $44.910000 $3.67B 969.20K -1.47 -3.17% DOWN
STRC Strategy Inc Variable Rate Series A Perpetual Stretch Preferred Stock - $93.400000 $2.42B 7.52M -2.00 -2.10% DOWN
STWD STARWOOD PROPERTY TRUST, INC. Holding and Other Investment Offices $17.050000 $6.32B 2.58M -0.10 -0.59% DOWN
SUN SUNOCO L.P. Petroleum and Coal Products $66.250000 $12.48B 236.48K -1.02 -1.52% DOWN
SW Smurfit Westrock plc - $41.280000 $21.65B 3.69M -1.57 -3.71% DOWN
SWK Stanley Black & Decker, Inc. - $78.480000 $12.20B 1.30M -0.83 -1.05% DOWN
T AT&T Inc. Communication $22.750000 $158.07B 62.98M +0.02 +0.09% UP
TAP Molson Coors Beverage Company Class B Food and Kindred Products $39.060000 $7.33B 2.71M +0.63 +1.64% UP
TDG TransDigm Group Incorporated Transportation Equipment $1238.740000 $69.29B 266.06K +20.91 +1.70% UP
TDS Telephone and Data Systems Inc. Communication $39.160000 $4.46B 971.49K -0.86 -2.17% DOWN
TFC Truist Financial Corporation Depository Institutions $49.200000 $61.30B 6.86M -0.43 -0.87% DOWN
THC Tenet Healthcare Corporation New Health Services $162.060000 $13.96B 1.03M +0.69 +0.43% UP
TKO TKO Group Holdings, Inc. - $203.490000 $15.26B 1.01M +1.00 +0.49% UP
TPG TPG Inc. Class A Common Stock Security and Commodity Brokers $41.190000 $6.61B 2.66M -0.96 -2.28% DOWN
TROW T Rowe Price Group Inc Security and Commodity Brokers $105.990000 $22.71B 1.48M -0.97 -0.91% DOWN
UDR UDR, Inc. Holding and Other Investment Offices $39.200000 $12.74B 3.77M +0.30 +0.77% UP
UGI UGI Corporation Electric, Gas, and Sanitary Services $34.850000 $7.47B 1.21M +0.49 +1.43% UP
UPS United Parcel Service, Inc. Class B Trucking and Warehousing $108.540000 $92.26B 4.05M -1.88 -1.71% DOWN
USB U.S. Bancorp Depository Institutions $55.690000 $86.38B 6.50M +0.23 +0.41% UP
VICI VICI Properties Inc. Common Stock Holding and Other Investment Offices $27.860000 $30.00B 8.73M +0.54 +1.98% UP
VZ Verizon Communications Communication $45.370000 $189.45B 23.93M +0.53 +1.18% UP
WES Western Midstream Partners, LP Electric, Gas, and Sanitary Services $44.370000 $17.47B 1.05M -0.72 -1.60% DOWN
WHR Whirlpool Corp. - $39.470000 $2.56B 2.79M -0.47 -1.18% DOWN
WPC W.P. Carey Inc. (REIT) Holding and Other Investment Offices $74.490000 $16.59B 1.43M +0.51 +0.69% UP
WSBC WesBanco Inc Depository Institutions $34.390000 $3.31B 477.27K +0.80 +2.31% UP
WU The Western Union Company Business Services $7.480000 $2.34B 10.99M -0.21 -2.75% DOWN
XRAY DENTSPLY SIRONA Inc. Instruments and Related Products $10.000000 $2.00B 3.47M +0.12 +1.21% UP
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