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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
RXT Rackspace Technology, Inc. 5.4450 - 138708392 6.59 99 Technology Software - Infrastructure rvol20:6.591082156284956volume:138708392close_vs_open:41.72306090577825
STTK Shattuck Labs, Inc. 6.5700 - 1303409 3.77 98 Healthcare Biotechnology rvol20:3.7718779128468976volume:1303409close_vs_open:3.1397174254317135
RKLB Rocket Lab Corporation 102.4800 - 62438706 3.20 93 Industrials Aerospace & Defense rvol20:3.1954971298349664volume:62438706close_vs_open:19.065876612059967
MBX MBX Biosciences, Inc. 39.7400 - 1452051 4.40 92 Healthcare Biotechnology rvol20:4.404272540279707volume:1452051close_vs_open:13.754114784599969
FLNC Fluence Energy, Inc. 24.0200 - 37048882 5.48 92 Utilities Utilities - Renewable rvol20:5.480508423692091volume:37048882close_vs_open:1.0304942166140947
MRNA Moderna, Inc. 53.0400 - 16405169 3.84 91 Healthcare Biotechnology rvol20:3.8436457563870166volume:16405169close_vs_open:8.244897959183673
DXYZ Destiny Tech100 Inc. Common Stock 52.8050 - 6067233 3.21 89 Financial Services Asset Management rvol20:3.2106967820258476volume:6067233close_vs_open:12.927715996578277
INOD Innodata Inc. 84.1411 - 17575140 11.30 89 Technology Information Technology Services rvol20:11.29663476413152volume:17575140close_vs_open:14.571214596949886
AKAM Akamai Technologies, Inc. 149.5300 - 17064346 4.67 88 Technology Software - Infrastructure rvol20:4.672101077422598volume:17064346close_vs_open:2.8050876589893523
FROG JFrog Ltd. 69.9250 - 6824613 4.02 88 Technology Software - Application rvol20:4.019727408152781volume:6824613close_vs_open:5.388093443858332
CALY Callaway Golf Company Common Stock 17.6111 - 5776786 3.30 87 Consumer Cyclical Leisure rvol20:3.2995644265105177volume:5776786close_vs_open:10.276142767689416
WEST Westrock Coffee Company 7.8603 - 4267156 9.35 83 Consumer Defensive Packaged Foods rvol20:9.351407092060876volume:4267156close_vs_open:14.082728592162555
RELY Remitly Global, Inc. 23.8350 - 8380201 3.19 82 Technology Software - Infrastructure rvol20:3.187045495618564volume:8380201close_vs_open:2.692804825506247
FNKO Funko, Inc. 5.3980 - 3461348 6.95 80 Consumer Cyclical Leisure rvol20:6.950695486628787volume:3461348close_vs_open:8.39357429718874
AMN AMN Healthcare Services Inc 28.3650 - 2234759 5.27 77 Healthcare Medical Care Facilities rvol20:5.269386655059404volume:2234759close_vs_open:8.970418747598915
NAMS NewAmsterdam Pharma Company N.V. 39.0500 - 3796362 4.53 76 Healthcare Biotechnology rvol20:4.534934329458441volume:3796362close_vs_open:12.051649928263975
NVAX Novavax, Inc. 10.1800 - 10812002 3.39 76 Healthcare Biotechnology rvol20:3.392170262569366volume:10812002close_vs_open:8.760683760683765
QURE uniQure N.V. 27.1300 - 5269801 4.08 71 Healthcare Biotechnology rvol20:4.080497393474187volume:5269801close_vs_open:11.646090534979416
PTCT PTC Therapeutics, Inc. 74.5250 - 3963417 6.20 70 Healthcare Biotechnology rvol20:6.1973423031845245volume:3963417close_vs_open:1.8240196748189754
ROAD Construction Partners, Inc. 144.3000 - 1180377 3.65 69 Industrials Engineering & Construction rvol20:3.6458721677455106volume:1180377close_vs_open:1.0787335388064028
MNST Monster Beverage Corporation 86.3350 - 8972567 3.84 68 Consumer Defensive Beverages - Non-Alcoholic rvol20:3.836449150282564volume:8972567close_vs_open:0.8456857179567923
CLFD Clearfield, Inc. 39.4600 - 656227 4.84 68 Technology Communication Equipment rvol20:4.842288961038961volume:656227close_vs_open:5.114544485881731
WSC WillScot Holdings Corporation 27.9650 - 8243511 4.34 65 Industrials Rental & Leasing Services rvol20:4.340709229396001volume:8243511close_vs_open:5.827814569536421
CRSR Corsair Gaming, Inc. 7.6218 - 3083155 4.73 63 Technology Computer Hardware rvol20:4.727070624603526volume:3083155close_vs_open:1.8957219251336885
CON Concentra Group Holdings Parent, Inc. Common Stock 24.6300 - 2165852 6.25 58 Healthcare Medical Care Facilities rvol20:6.245930567383229volume:2165852close_vs_open:1.483312731767612
INGN Inogen, Inc 7.2200 - 671272 3.17 52 Healthcare Medical Devices rvol20:3.173628800901683volume:671272close_vs_open:1.1204481792717098
WMG Warner Music Group Corp. 32.8350 - 4453089 3.70 51 Communication Services Entertainment rvol20:3.7043256849922863volume:4453089close_vs_open:2.257863593895987
DCH Dauch Corporation Common Stock 6.6250 - 7726648 3.56 45 Consumer Cyclical Auto Parts rvol20:3.56350248250509volume:7726648close_vs_open:10.232945091514146
FFWM First Foundation Inc. Common Stock 5.9000 - 4512537 5.25 44 Financial Services Banks - Regional rvol20:5.245148988906296volume:4512537close_vs_open:0.3401360544217766
DBX Dropbox, Inc. 28.6400 - 6534452 3.20 43 Technology Software - Infrastructure rvol20:3.2028429318111717volume:6534452close_vs_open:4.430264357338194
AD Array Digital Infrastructure, Inc. Common Shares 56.6050 - 637205 8.95 - Communication Services Telecom Services rvol20:8.946486474723075volume:637205close_vs_open:13.778894472361802
EVTV Envirotech Vehicles, Inc. 2.1050 - 2137231 6.56 - Consumer Cyclical Auto Manufacturers rvol20:6.562170458901595volume:2137231close_vs_open:16.298342541436458
LXRX Lexicon Pharmaceuticals, Inc. 1.8550 - 4968935 3.18 - Healthcare Biotechnology rvol20:3.177389606967303volume:4968935close_vs_open:9.763313609467458
PYXS Pyxis Oncology, Inc. 2.6900 - 1492756 3.45 - Healthcare Biotechnology rvol20:3.4504756736952995volume:1492756close_vs_open:18.502202643171803
TRAW Traws Pharma, Inc. 2.2500 - 85869916 18.91 - Healthcare Biotechnology rvol20:18.913953223723706volume:85869916close_vs_open:10.294117647058822
XWEL XWELL, Inc. 1.5197 - 538267 5.33 - Healthcare Diagnostics & Research rvol20:5.326188434743759volume:538267close_vs_open:7.02112676056339
MRVI Maravai LifeSciences Holdings, Inc. 4.8250 - 9361123 5.35 - Healthcare Biotechnology rvol20:5.349152009691318volume:9361123close_vs_open:10.665137614678894
GCTS GCT Semiconductor Holding, Inc. Common Stock 1.6766 - 10221503 5.16 - Technology Semiconductors rvol20:5.159747950563759volume:10221503close_vs_open:8.870129870129874
MASK 3 E Network Technology Group Ltd - Class A Ordinary Shares 3.0750 - 23497302 5.77 - Technology Software - Application rvol20:5.774425414026227volume:23497302close_vs_open:9.43060498220641