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Market Leaders Today

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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Short Interest Crowded

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Stocks trading near their 52-week lows with minimum liquidity filters.

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Stocks trading near their 52-week highs with minimum liquidity filters.

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Aggressive Small Caps

Higher-volatility small cap stocks with sufficient liquidity.

Small Cap Volatility Aggressive

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Small cap stocks with strong 7-day performance and minimum liquidity.

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

Market Leaders Today

200 stocks • Updated 02:54

Ticker Name Industry Price Market Cap Volume Change Change % Trend
KLAC KLA Corporation Common Stock Instruments and Related Products $1929.200000 $252.01B 1.86M -222.53 -10.44% DOWN
KO Coca-Cola Company - $79.480000 $341.96B 25.71M +2.53 +3.29% UP
LIN Linde plc Ordinary Share - $507.900000 $234.83B 2.89M +8.58 +1.69% UP
LLY Eli Lilly & Co. Chemicals and Allied Products $1131.420000 $1.01T 4.13M -2.27 -0.20% DOWN
LMT Lockheed Martin Corp. - $523.760000 $120.76B 903.00K +4.71 +0.91% UP
LOW Lowe's Companies Inc. Building Materials & Garden Supplies $210.740000 $118.16B 2.42M +3.21 +1.55% UP
LRCX Lam Research Corp Industrial Machinery and Equipment $303.280000 $379.27B 13.31M -35.91 -10.67% DOWN
LYG Lloyds Banking Group PLC - $5.310000 $87.88B 22.98M -0.01 -0.18% DOWN
MA Mastercard Incorporated Business Services $491.080000 $433.91B 4.23M +7.44 +1.54% UP
MAR Marriott International Class A Common Stock Hotels and Other Lodging Places $392.510000 $103.50B 1.98M +5.70 +1.48% UP
MCD McDonald's Corporation Eating and Drinking Places $279.840000 $198.83B 5.43M +6.97 +2.56% UP
MCK McKesson Corporation Wholesale Trade Nondurable Goods $775.660000 $93.24B 982.08K +18.71 +2.47% UP
MDLZ Mondelez International, Inc. Class A - $62.040000 $79.64B 8.57M +0.85 +1.39% UP
MDT Medtronic plc Instruments and Related Products $81.670000 $104.85B 15.29M -0.51 -0.62% DOWN
META Meta Platforms, Inc. Class A Common Stock - $593.000000 $1.51T 30.10M -37.81 -6.02% DOWN
MFG Mizuho Financial Group, Inc. American Depositary Shares (Each representing one-fifth of an Ordinary Share) - $9.520000 $106.59B 4.85M -0.45 -4.58% DOWN
MMM 3M Company Instruments and Related Products $153.760000 $80.20B 2.49M +0.99 +0.65% UP
MNST Monster Beverage Corporation Food and Kindred Products $89.550000 $87.58B 5.68M +0.78 +0.88% UP
MO Altria Group, Inc. Tobacco Products $72.190000 $120.55B 8.06M +1.48 +2.10% UP
MRK Merck & Co., Inc. Chemicals and Allied Products $120.790000 $298.33B 15.97M +0.44 +0.37% UP
MRSH Marsh Insurance Agents, Brokers, & Service $165.440000 $79.71B 3.01M +3.74 +2.32% UP
MRVL Marvell Technology, Inc. Common Stock Electronic & Other Electric Equipment $263.470000 $230.48B 94.01M -43.65 -13.79% DOWN
MS Morgan Stanley Security and Commodity Brokers $211.930000 $334.27B 6.17M -6.68 -3.06% DOWN
MSFT Microsoft Corp Business Services $416.670000 $3.10T 34.78M -15.55 -3.63% DOWN
MU Micron Technology, Inc. Electronic & Other Electric Equipment $864.010000 $974.37B 77.25M -138.01 -13.86% DOWN
MUFG Mitsubishi UFJ Financial Group, Inc. - $19.910000 $203.46B 4.00M -0.14 -0.70% DOWN
NEE NextEra Energy, Inc. Electric, Gas, and Sanitary Services $85.840000 $179.03B 11.84M +0.15 +0.17% UP
NEM Newmont Corporation - $99.710000 $106.45B 9.88M -8.66 -7.99% DOWN
NET Cloudflare, Inc. Class A common stock, par value $0.001 per share Business Services $250.110000 $88.41B 4.74M -21.61 -8.04% DOWN
NFLX NetFlix Inc Motion Pictures $82.180000 $346.04B 43.48M +0.27 +0.33% UP
NGG National Grid PLC - $81.860000 $82.06B 979.08K -0.66 -0.81% DOWN
NOW SERVICENOW, INC. Business Services $112.450000 $115.97B 31.45M -8.46 -7.09% DOWN
NVDA Nvidia Corp Electronic & Other Electric Equipment $205.100000 $4.97T 219.77M -14.62 -6.69% DOWN
NVO Novo-Nordisk A/S - $42.960000 $284.29B 10.86M -1.02 -2.33% DOWN
NVS Novartis AG - $149.160000 $284.61B 3.57M +0.76 +0.51% UP
ORCL Oracle Corp Business Services $213.680000 $614.55B 29.05M -26.24 -11.10% DOWN
PANW Palo Alto Networks, Inc. Common Stock Industrial Machinery and Equipment $272.050000 $221.72B 7.80M -9.90 -3.55% DOWN
PBR PETROLEO BRASILEIRO S.A.-PETROBRAS ADS (REP 1 COMMON SHARE) - $17.750000 $96.86B 13.36M -0.26 -1.44% DOWN
PBR.A Petroleo Brasileiro S.A.-Petrobras - $15.850000 $104.14B 6.53M -0.22 -1.36% DOWN
PDD PDD Holdings Inc. American Depositary Shares - $85.070000 $146.86B 7.42M -1.81 -2.11% DOWN
PEP PepsiCo, Inc. - $141.920000 $193.97B 13.23M +0.62 +0.44% UP
PFE Pfizer Inc. Chemicals and Allied Products $26.040000 $148.41B 32.22M +0.26 +1.01% UP
PG Procter & Gamble Company - $146.540000 $341.23B 10.97M +5.79 +4.12% UP
PGR Progressive Corporation Insurance Carriers $204.020000 $119.05B 2.75M +6.17 +3.16% UP
PLD PROLOGIS, INC. Holding and Other Investment Offices $144.540000 $134.76B 5.44M +0.06 +0.04% UP
PLTR Palantir Technologies Inc. Class A Common Stock Business Services $135.530000 $324.91B 38.24M -7.81 -5.51% DOWN
PM Philip Morris International Inc. Tobacco Products $178.290000 $277.88B 4.60M +4.69 +2.68% UP
PNC PNC Financial Services Group Depository Institutions $228.370000 $91.71B 1.30M +1.29 +0.57% UP
PWR Quanta Services, Inc. Special Trade Contractors $695.110000 $104.31B 1.06M -29.18 -4.06% DOWN
QCOM Qualcomm Inc Electronic & Other Electric Equipment $215.940000 $227.60B 24.19M -30.39 -12.53% DOWN
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