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US: 2026-08-12 NSE: 2026-08-12 2026-08-12
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Symbol Name Price Change % Volume Rel Vol RS Ind Rank Sector Industry Triggered
CRSR Corsair Gaming, Inc. 14.3050 - 8321660 5.79 96 #17 Technology Computer Hardware rvol20:5.793043455379038volume:8321660close_vs_open:12.797665983283387
PUBM PubMatic, Inc. 17.7500 - 2955943 6.71 95 #28 Technology Software - Application rvol20:6.71175923574385volume:2955943close_vs_open:2.9283850391417743
RCEL Avita Medical, Inc. 7.7250 - 6812788 13.15 94 #82 Healthcare Medical Devices rvol20:13.149174821625111volume:6812788close_vs_open:28.535773710482527
NTRA Natera, Inc. 322.3250 - 2913979 3.27 92 #31 Healthcare Diagnostics & Research rvol20:3.271233520438986volume:2913979close_vs_open:0.4440635712059868
TWLO Twilio Inc. Class A Common Stock 242.1600 - 6767554 4.25 91 #20 Technology Software - Infrastructure rvol20:4.24517780974347volume:6767554close_vs_open:2.9373007438894776
QNST QuinStreet, Inc. 21.1000 - 4236182 6.85 88 #21 Communication Services Advertising Agencies rvol20:6.852659748193368volume:4236182close_vs_open:7.215447154471553
VATE INNOVATE Corp. Common Stock 11.9300 - 13998571 18.23 88 #86 Industrials Engineering & Construction rvol20:18.232743762967328volume:13998571close_vs_open:8.061594202898556
ERO Ero Copper Corp. Common Shares 34.2300 - 2287683 3.13 87 #37 Basic Materials Copper rvol20:3.126879009986965volume:2287683close_vs_open:6.96874999999999
HALO Halozyme Therapeutics, Inc. 102.3400 - 6422067 4.81 87 #36 Healthcare Biotechnology rvol20:4.805668594389152volume:6422067close_vs_open:13.0828729281768
MTW Manitowoc Company, Inc. (The) Common Stock 18.8299 - 1088570 6.31 86 #85 Industrials Farm & Heavy Construction Machinery rvol20:6.313288312845222volume:1088570close_vs_open:9.859393232205356
ICUI ICU Medical, Inc. 182.8900 - 727038 3.14 84 #40 Healthcare Medical Instruments & Supplies rvol20:3.1405203574563374volume:727038close_vs_open:0.296133808609812
OMDA Omada Health, Inc. 23.9800 - 4393988 3.87 82 #22 Healthcare Health Information Services rvol20:3.8745666892874726volume:4393988close_vs_open:15.817435402076804
TILE Interface, Inc. 38.2200 - 911530 3.93 81 #79 Consumer Cyclical Furnishings, Fixtures & Appliances rvol20:3.934541569772147volume:911530close_vs_open:1.2450331125827785
ABNB Airbnb, Inc. 177.0800 - 13258715 4.90 80 #92 Consumer Cyclical Travel Services rvol20:4.901788183704441volume:13258715close_vs_open:7.942700396220665
SVV Savers Value Village, Inc. Common Stock 12.4250 - 2305457 3.32 78 #98 Consumer Cyclical Specialty Retail rvol20:3.319246727860676volume:2305457close_vs_open:8.991228070175442
CART Maplebear Inc. 50.3600 - 11633326 4.70 76 #29 Consumer Cyclical Internet Retail rvol20:4.704688473059771volume:11633326close_vs_open:0.7199999999999989
RAAQ Real Asset Acquisition Corp. - Class A Ordinary Share 13.4200 - 2908190 3.73 76 #78 Financial Services Shell Companies rvol20:3.729914143832535volume:2908190close_vs_open:10.180623973727423
TLSI TriSalus Life Sciences, Inc. 5.7100 - 628562 4.11 75 #82 Healthcare Medical Devices rvol20:4.107354412405666volume:628562close_vs_open:17.248459958932237
TEAM Atlassian Corporation 149.8050 - 17791438 4.59 68 #28 Technology Software - Application rvol20:4.585727092162314volume:17791438close_vs_open:2.8597912661356912
FLR Fluor Corporation Common Stock 56.9300 - 6386295 3.57 64 #86 Industrials Engineering & Construction rvol20:3.5672257920295625volume:6386295close_vs_open:4.420396184886274
SPT Sprout Social, Inc 10.3050 - 2917882 3.57 54 #28 Technology Software - Application rvol20:3.572868683255872volume:2917882close_vs_open:7.962283918281821
DCH Dauch Corporation Common Stock 6.3850 - 7652623 3.60 41 #112 Consumer Cyclical Auto Parts rvol20:3.596539388111707volume:7652623close_vs_open:2.8180354267310763
SENS Senseonics Holdings, Inc. 6.8850 - 1819685 4.04 38 #82 Healthcare Medical Devices rvol20:4.03514152271801volume:1819685close_vs_open:19.53125
TBCH Turtle Beach Corporation 13.9600 - 800876 3.43 36 #103 Technology Consumer Electronics rvol20:3.4320077632807875volume:800876close_vs_open:1.9722425127830634
FOXF Fox Factory Holding Corp. 21.2800 - 1729284 4.29 30 #112 Consumer Cyclical Auto Parts rvol20:4.288762658328307volume:1729284close_vs_open:0.23551577955723368
BTG B2Gold Corp Common shares (Canada) 4.9750 - 61429253 3.29 - #122 Basic Materials Gold rvol20:3.2931936501532975volume:61429253close_vs_open:14.367816091954024
YJ Yunji Inc. - American Depository Shares 4.0500 - 47005617 19.90 - #29 Consumer Cyclical Internet Retail rvol20:19.89801159437112volume:47005617close_vs_open:193.47826086956525
NRXP NRX Pharmaceuticals, Inc. 3.5850 - 5205684 5.36 - #36 Healthcare Biotechnology rvol20:5.36053401409177volume:5205684close_vs_open:3.6127167630057806
ONL Orion Properties Inc. Common Stock 2.8450 - 867381 4.56 - #26 Real Estate REIT - Office rvol20:4.559031260848895volume:867381close_vs_open:1.9713261648745577