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US: 2026-06-12 NSE: 2026-06-12 2026-06-14
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Symbol Name Price Change % Volume Rel Vol RS Sector Industry Triggered
CAR Avis Budget Group, Inc. 255.1500 - 5713810 4.04 95 Industrials Rental & Leasing Services rvol20:4.038282694630548volume:5713810close_vs_open:17.575226948066916
CAR Avis Budget Group, Inc. 255.1500 - 5713810 4.04 95 Industrials Rental & Leasing Services rvol20:4.038282694630548volume:5713810close_vs_open:17.575226948066916
PSIG PS International Group Ltd. 6.7400 - 2443611 9.47 92 Industrials Integrated Freight & Logistics rvol20:9.470785977517256volume:2443611close_vs_open:1.3533834586466142
PSIG PS International Group Ltd. 6.7400 - 2443611 9.47 92 Industrials Integrated Freight & Logistics rvol20:9.470785977517256volume:2443611close_vs_open:1.3533834586466142
ALHC Alignment Healthcare, Inc. 21.6600 - 14925073 4.47 71 Healthcare Healthcare Plans rvol20:4.466224718561141volume:14925073close_vs_open:6.910167818361296
ALHC Alignment Healthcare, Inc. 21.6600 - 14925073 4.47 71 Healthcare Healthcare Plans rvol20:4.466224718561141volume:14925073close_vs_open:6.910167818361296
FFWM First Foundation Inc. Common Stock 5.9000 - 4512537 5.25 51 Financial Services Banks - Regional rvol20:5.245148988906296volume:4512537close_vs_open:0.3401360544217766
FFWM First Foundation Inc. Common Stock 5.9000 - 4512537 5.25 51 Financial Services Banks - Regional rvol20:5.245148988906296volume:4512537close_vs_open:0.3401360544217766
CMU MFS Municipal Income Trust Common Stock 3.6200 - 568138 6.52 - Financial Services Asset Management rvol20:6.524101445805408volume:568138close_vs_open:0.2770083102493139
CMU MFS Municipal Income Trust Common Stock 3.6200 - 568138 6.52 - Financial Services Asset Management rvol20:6.524101445805408volume:568138close_vs_open:0.2770083102493139
BMEA Biomea Fusion, Inc. 1.9000 - 5557602 3.36 - Healthcare Biotechnology rvol20:3.3620093503582886volume:5557602close_vs_open:24.183006535947705
BMEA Biomea Fusion, Inc. 1.9000 - 5557602 3.36 - Healthcare Biotechnology rvol20:3.3620093503582886volume:5557602close_vs_open:24.183006535947705
RYDE Ryde Group Ltd. Class A Ordinary Shares 1.0300 - 8595480 7.37 - Technology Software - Application rvol20:7.371155727100322volume:8595480close_vs_open:34.254431699687174
RYDE Ryde Group Ltd. Class A Ordinary Shares 1.0300 - 8595480 7.37 - Technology Software - Application rvol20:7.371155727100322volume:8595480close_vs_open:34.254431699687174