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US: 2026-06-12 NSE: 2026-06-12 2026-06-14
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Open in Watchlist 19 results
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Symbol Name Price Change % Volume Rel Vol RS Sector Industry Triggered
HKIT Hitek Global Inc. - Class A Ordinary Share 6.8750 - 87132951 16.52 98 Technology Software - Application rvol20:16.51552544232597volume:87132951close_vs_open:114.84374999999997
SPCE Virgin Galactic Holdings, Inc. Common Stock 7.7050 - 275025028 7.95 96 Industrials Aerospace & Defense rvol20:7.948315599357694volume:275025028close_vs_open:5.910652920962195
RVMD Revolution Medicines, Inc. 165.3000 - 5515070 3.19 95 Healthcare Biotechnology rvol20:3.185413521062608volume:5515070close_vs_open:2.7358947904883935
LIXT Lixte Biotechnology Holdings, Inc. 6.9099 - 772019 5.81 95 Healthcare Biotechnology rvol20:5.808803280538731volume:772019close_vs_open:7.130232558139538
HPE Hewlett Packard Enterprise Company Common Stock 47.7591 - 66705343 3.67 94 Technology Communication Equipment rvol20:3.6733100454218244volume:66705343close_vs_open:8.101177003168848
SKM SK Telecom Co., Ltd. Common Stock 44.5600 - 6810646 3.10 91 Communication Services Telecom Services rvol20:3.0997596935561473volume:6810646close_vs_open:9.75369458128079
MGM MGM Resorts International Common Stock 50.8475 - 23976834 5.34 81 Consumer Cyclical Resorts & Casinos rvol20:5.335262796555756volume:23976834close_vs_open:4.926743706149392
AIRJ AirJoule Technologies Corporation 5.3399 - 3696597 3.32 81 Industrials Building Products & Equipment rvol20:3.315160887132249volume:3696597close_vs_open:9.31218014329581
LFVN Lifevantage Corporation 8.8300 - 973707 3.25 65 Consumer Defensive Packaged Foods rvol20:3.2486885395219787volume:973707close_vs_open:2.9137529137529135
TMHC Taylor Morrison Home Corporation Common Stock 71.5850 - 18784051 12.56 58 Consumer Cyclical Residential Construction rvol20:12.557385001198979volume:18784051close_vs_open:0.013971358714622292
CNK Cinemark Holdings Inc Cinemark Holdings, Inc. Common Stock 31.1800 - 3613176 3.00 53 Communication Services Entertainment rvol20:3.0031375565325784volume:3613176close_vs_open:9.904829044765592
FFWM First Foundation Inc. Common Stock 5.9000 - 4512537 5.25 48 Financial Services Banks - Regional rvol20:5.245148988906296volume:4512537close_vs_open:0.3401360544217766
AMC AMC Entertainment Holdings, Inc. Class A Common Stock 2.1450 - 110305606 4.13 - Communication Services Entertainment rvol20:4.1270586435423695volume:110305606close_vs_open:20.50561797752809
WALD Waldencast plc - Class A Ordinary Share 1.8800 - 10577721 12.77 - Consumer Defensive Household & Personal Products rvol20:12.766528990579397volume:10577721close_vs_open:39.259259259259245
ANY Sphere 3D Corp. 4.0700 - 114804046 19.32 - Financial Services Capital Markets rvol20:19.32214627784888volume:114804046close_vs_open:28.593996840442347
LSTA Lisata Therapeutics, Inc. 3.5900 - 894225 11.55 - Healthcare Biotechnology rvol20:11.549616304368183volume:894225close_vs_open:4.057971014492744
XTIA XTI Aerospace, Inc. Common Stock 2.1450 - 8118870 3.57 - Industrials Aerospace & Defense rvol20:3.5687528116905933volume:8118870close_vs_open:7.518796992481199
HMR Heidmar Maritime Holdings Corp. 1.5160 - 2397376 6.52 - Industrials Marine Shipping rvol20:6.518118383580724volume:2397376close_vs_open:5.277777777777783
SUUN PowerBank Corporation 1.4599 - 19287004 8.33 - Utilities Utilities - Renewable rvol20:8.334621928909929volume:19287004close_vs_open:58.68478260869564