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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
AIOS AIOS Tech Inc. - Class A Common Shares 19.2700 - 3229060 6.46 99 Technology Information Technology Services rvol20:6.457548506957134volume:3229060close_vs_open:20.437499999999996
DOCN DigitalOcean Holdings, Inc. Common Stock 150.8231 - 12186290 3.73 98 Technology Software - Infrastructure rvol20:3.7278499941029115volume:12186290close_vs_open:15.839554531490032
STRL Sterling Infrastructure, Inc. 793.2500 - 1975814 5.40 96 Industrials Engineering & Construction rvol20:5.402074088655944volume:1975814close_vs_open:9.045295209292728
ECG Everus Construction Group, Inc. Common Stock 169.4600 - 1334180 3.93 95 Industrials Engineering & Construction rvol20:3.927033551444631volume:1334180close_vs_open:7.950057332144235
HSHP Himalaya Shipping Ltd. Common Shares 15.5500 - 771193 3.69 93 Industrials Marine Shipping rvol20:3.692712046768393volume:771193close_vs_open:4.713804713804721
LINC Lincoln Educational Services Corporation 43.3400 - 779972 3.30 92 Consumer Defensive Education & Training Services rvol20:3.2967528566015303volume:779972close_vs_open:5.373206904935572
DGXX Digi Power X Inc. - Common Subordinate Voting Shares 5.4350 - 107540176 15.07 92 Utilities Utilities - Independent Power Producers rvol20:15.067525106937184volume:107540176close_vs_open:1.7790262172284597
PRIM Primoris Services Corporation Common Stock 204.2100 - 1378372 3.28 90 Industrials Engineering & Construction rvol20:3.2828495255442984volume:1378372close_vs_open:4.868279155754131
BLSH Bullish Ordinary Shares 45.3700 - 3183038 3.92 87 Technology Software - Infrastructure rvol20:3.915741579149411volume:3183038close_vs_open:8.618625807996155
HNGE Hinge Health, Inc. Class A Common Stock 51.6450 - 3959177 6.37 85 Healthcare Health Information Services rvol20:6.37300535580553volume:3959177close_vs_open:5.140472312703595
CYTK Cytokinetics, Incorporated 77.0000 - 14579442 9.05 83 Healthcare Biotechnology rvol20:9.052826381318274volume:14579442close_vs_open:3.3279656468062324
FTRE Fortrea Holdings Inc. 15.0450 - 2759704 3.50 82 Healthcare Biotechnology rvol20:3.50137196183755volume:2759704close_vs_open:7.772206303724921
CYRX CryoPort, Inc. 12.0300 - 1504745 5.16 82 Industrials Integrated Freight & Logistics rvol20:5.156847860916292volume:1504745close_vs_open:9.463148316651493
AURA Aura Biosciences, Inc. 8.9000 - 2816750 7.62 81 Healthcare Biotechnology rvol20:7.620871678373377volume:2816750close_vs_open:4.952830188679244
BLZE Backblaze, Inc. 7.7400 - 34548779 16.81 81 Technology Software - Infrastructure rvol20:16.80953443242219volume:34548779close_vs_open:3.8926174496644297
OPLN OPENLANE, Inc. Common Stock 35.1800 - 1885336 5.62 78 Consumer Cyclical Auto & Truck Dealerships rvol20:5.6192142281164275volume:1885336close_vs_open:9.373542670604698
VVX V2X, Inc. Common Stock 74.2300 - 854842 3.60 73 Industrials Aerospace & Defense rvol20:3.5996515061746486volume:854842close_vs_open:4.549295774647892
IIPR Innovative Industrial Properties, Inc. Common Stock 60.9000 - 867753 3.40 70 Real Estate REIT - Industrial rvol20:3.4032552303175163volume:867753close_vs_open:11.477210323997795
HR Healthcare Realty Trust Incorporated Common Stock 19.8550 - 15104398 6.95 68 Real Estate REIT - Healthcare Facilities rvol20:6.9487040529971935volume:15104398close_vs_open:0.7868020304568586
BUD Anheuser-Busch Inbev SA Sponsored ADR (Belgium) 80.8101 - 4242778 3.27 67 Consumer Defensive Beverages - Brewers rvol20:3.2670941473256265volume:4242778close_vs_open:1.4692365645404382
IART Integra LifeSciences Holdings Corporation 13.3400 - 1997166 4.09 47 Healthcare Medical Devices rvol20:4.093793161125439volume:1997166close_vs_open:9.07604251839738
FFWM First Foundation Inc. Common Stock 5.9000 - 4512537 5.25 45 Financial Services Banks - Regional rvol20:5.245148988906296volume:4512537close_vs_open:0.3401360544217766
EVER EverQuote, Inc. 22.8450 - 4954073 6.97 40 Communication Services Internet Content & Information rvol20:6.965090284039057volume:4954073close_vs_open:19.295039164490866
LTH Life Time Group Holdings, Inc. Common Stock 28.7600 - 5442256 4.85 34 Consumer Cyclical Leisure rvol20:4.847779361412164volume:5442256close_vs_open:6.637004078605868
BRCC BRC Inc. Class A Common Stock 1.3550 - 8599470 11.09 - Consumer Defensive Packaged Foods rvol20:11.09047496467595volume:8599470close_vs_open:9.274193548387096
FATE Fate Therapeutics, Inc. 2.3150 - 9235197 5.08 - Healthcare Biotechnology rvol20:5.076104351376332volume:9235197close_vs_open:12.926829268292689
DSX Diana Shipping inc. common stock 2.7058 - 1183670 3.18 - Industrials Marine Shipping rvol20:3.177468261087295volume:1183670close_vs_open:3.2748091603053386
TLIH Ten-League International Holdings Limited 4.3300 - 4149717 3.32 - Industrials Industrial Distribution rvol20:3.318868610907178volume:4149717close_vs_open:1.6431924882629174
MASK 3 E Network Technology Group Ltd - Class A Ordinary Shares 2.0830 - 44369996 14.34 - Technology Software - Application rvol20:14.337817361977088volume:44369996close_vs_open:3.3746898263027325
SSAC SPACSphere Acquisition Corp. - Class A Ordinary Shares 9.9400 - 801800 12.04 - rvol20:12.043849345233982volume:801800close_vs_open:0.1007049345417904