🇺🇸 US Stock Screener ← Switch market ★ Elite Club ⚡ HerAI

Multi-EMA bearish stack (≥3 downs in 5d) screener

Stocks with three or more bearish EMA crossovers in the last 5 trading days — a strong, broad-based momentum breakdown.

200 matches
#TickerName Charts Mkt Cap Price P/E Fwd P/E Δ P/E ROCE % ROA % Rev CAGR 5Y % Profit CAGR 5Y % Div % 1Y % Sector
1 PCG PG&E Corporation $31.49B 14.30 10.29 7.93 Δ 2.36 3.87% 2.57% 3.80% 5.99% 1.18% -5.24% Utilities
2 PHG Koninklijke Philips N.V. $25.31B 25.89 19.61 13.60 Δ 6.01 7.46% 4.07% 0.01% - 3.79% -1.43% Healthcare
3 ALOY REalloys Inc. $689.13M 10.10 - -72.14 - -69.29% -50.96% -6.31% - 0.00% +53.50% Basic Materials
4 CNTB Connect Biopharma Holdings Limited $115.85M 1.84 -1.60 -2.35 Δ 0.75 -136.77% -54.20% - - 0.00% -22.03% Healthcare
5 DUOT AI Duos Technologies Group, Inc. $275.18M 8.76 -14.36 27.81 Δ -42.17 -18.66% -9.24% 24.01% - 0.00% +42.67% Technology
6 GRRR Gorilla Technology Group Inc. $382.78M 13.79 -8.11 7.20 Δ -15.31 4.21% -4.50% 65.38% - 0.00% -21.65% Technology
7 IPEX Inflection Point Acquisition Corp. V $84.63M 7.75 775.00 - - -3.11% 0.44% - - 0.00% -23.87% Financial Services
8 LPTH LightPath Technologies, Inc. $607.17M 9.67 -19.34 74.38 Δ -93.72 -18.36% -2.81% 9.84% - 0.00% +159.25% Technology
9 XPL XPL $53.63M 0.59 -14.75 - - -17.86% -15.31% - - 0.00% -16.90% -
10 AZ A2Z Cust2Mate Solutions Corp. $273.87M 6.15 -6.28 12.06 Δ -18.34 -46.61% -39.82% -5.46% - 0.00% -37.37% Technology
11 CHH Choice Hotels International, Inc. $4.53B 100.62 14.25 13.47 Δ 0.78 18.30% 9.12% 5.51% 7.99% 1.05% -18.04% Consumer Cyclical
12 DEI Douglas Emmett, Inc. $1.91B 11.42 -76.13 -100.00 Δ 23.87 - 1.26% 2.99% -20.25% 6.61% -24.64% Real Estate
13 DRUG Bright Minds Biosciences Inc. $639.35M 65.16 -26.60 -7.48 Δ -19.12 -16.98% -10.44% - - 0.00% +60.71% Healthcare
14 DSL DSL $1.20B 10.51 - - - - - - - 0.00% -6.24% -
15 FERG Ferguson Enterprises Inc. $44.30B 228.41 22.48 18.18 Δ 4.30 22.27% 10.47% 2.50% -4.37% 1.41% +0.90% Industrials
16 GRDX GridAI Technologies Corp. $22.82M 3.25 -0.79 - - -21.21% -13.17% - 18.77% 0.00% +73.06% Healthcare
17 INDI AI indie Semiconductor, Inc. $760.64M 3.60 -4.74 20.61 Δ -25.35 -20.18% -10.20% 57.25% - 0.00% -24.37% Technology
18 LFWD Lifeward Ltd. $19.64M 6.98 -0.38 -3.92 Δ 3.54 - -35.12% -1.04% - 0.00% -18.87% Healthcare
19 RDZN AI Roadzen, Inc. $109.09M 1.29 4.45 12.90 Δ -8.45 - -20.53% 59.50% - 0.00% +11.21% Technology
20 YUMC YUMC $15.47B 43.60 17.37 17.03 Δ 0.34 15.53% 8.62% 5.46% 5.44% 0.00% -3.24% -
21 ACRE Ares Commercial Real Estate Corporation $253.55M 4.57 -57.12 8.46 Δ -65.58 - -0.27% 9.91% - 12.74% +14.65% Real Estate
22 AMBA AI Ambarella, Inc. $2.76B 62.89 -39.06 54.82 Δ -93.88 -13.30% -6.35% 9.91% - 0.00% -9.17% Technology
23 BKT BKT $331.34M 10.23 73.46 36.73 Δ 36.73 - 4.56% - - 0.00% -4.24% -
24 CLX The Clorox Company $11.25B 93.06 19.39 14.62 Δ 4.77 - 9.16% 1.77% 3.37% 4.73% -20.74% Consumer Defensive
25 EGHT 8x8, Inc. $272.98M 1.89 63.00 5.11 Δ 57.89 4.03% 1.98% 16.56% -5.21% 0.00% -3.08% Technology
26 FLC FLC - 16.46 - - - - - - - 0.00% +1.86% -
27 FVN Future Vision II Acquisition Corp. $77.63M 10.29 38.11 41.33 Δ -3.22 -0.63% -0.35% - 223.33% 0.00% -0.96% Financial Services
28 GAME GameSquare Holdings, Inc. $303.98M 2.95 -5.46 -22.69 Δ 17.23 -65.67% -10.52% 17.02% - 0.00% +217.89% Communication Services
29 HYI HYI - 10.31 10.74 16.42 Δ -5.68 - - 105.71% 99.26% 0.00% -4.88% -
30 IR Ingersoll Rand Inc. $29.63B 76.36 31.55 19.57 Δ 11.98 7.05% 5.10% 13.66% - 0.09% -5.37% Industrials
31 KAI Kadant Inc. $3.53B 298.76 32.12 21.12 Δ 11.00 10.60% 6.79% 10.10% 13.06% 0.42% -15.77% Industrials
32 MGEE MGE Energy, Inc. $2.92B 77.37 19.01 18.67 Δ 0.34 5.97% 3.72% 1.34% 6.99% 2.35% -7.71% Utilities
33 MIAX Miami International Holdings, Inc. $4.10B 42.39 32.86 22.89 Δ 9.97 9.97% 7.69% 14.47% - 0.00% +37.90% Financial Services
34 MMU MMU $539.63M 9.88 -164.67 - - - 5.79% - - 0.00% +4.49% -
35 NAD NAD - 11.46 - - - - - - - 0.00% +7.12% -
36 PCQ PCQ $162.10M 8.54 -427.00 - - - 3.33% - - 0.00% +7.01% -
37 RZLV RZLV $743.28M 2.21 -2.08 - - -24.84% -16.58% 640.71% - 0.00% -48.24% -
38 SFM Sprouts Farmers Market, Inc. $7.59B 81.40 15.56 13.65 Δ 1.91 21.04% 10.32% 14.83% 16.49% 0.00% -44.32% Consumer Defensive
39 TTWO Take-Two Interactive Software, Inc. $40.03B 214.06 -131.33 21.35 Δ -152.68 -1.53% -0.53% 9.83% - 0.00% -9.35% Communication Services
40 AHT Ashford Hospitality Trust, Inc. $20.34M 3.14 -0.07 -0.25 Δ 0.18 4.24% 1.40% -3.81% -9.54% 0.00% -49.35% Real Estate
41 AON Aon plc $68.54B 323.09 17.80 15.14 Δ 2.66 17.09% 5.83% 5.22% 8.92% 0.91% -12.47% Financial Services
42 AOS A. O. Smith Corporation $6.66B 60.48 16.85 14.77 Δ 2.08 31.93% 12.54% 5.87% 20.89% 2.29% -16.04% Industrials
43 AVNW Aviat Networks, Inc. $255.94M 19.78 28.67 6.99 Δ 21.68 4.04% 2.48% -0.43% -58.59% 0.00% -13.36% Technology
44 AXP American Express Company $220.26B 326.16 19.79 16.22 Δ 3.57 - 3.79% 8.87% 6.02% 1.11% +7.42% Financial Services
45 BBN BBN $967.05M 15.65 82.37 41.19 Δ 41.18 - 4.82% - - 0.00% +1.69% -
46 BDN Brandywine Realty Trust $537.37M 3.12 -3.80 -4.66 Δ 0.86 -1.14% 0.60% -1.45% -143.72% 9.94% -15.19% Real Estate
47 BURL Burlington Stores, Inc. $16.67B 265.33 27.30 19.17 Δ 8.13 - 6.09% 8.09% - 0.00% -7.66% Consumer Cyclical
48 CAL Caleres, Inc. $417.52M 12.43 - 5.46 - 2.43% 1.76% 1.23% - 1.94% -16.13% Consumer Cyclical
49 CBUS Cibus, Inc. $121.37M 1.59 -0.90 -2.52 Δ 1.62 -33.84% -11.18% 11.08% - 0.00% +11.97% Healthcare
50 CCLD CareCloud, Inc. $94.76M 2.23 31.86 5.23 Δ 26.63 17.95% 6.82% 22.58% - 0.00% -12.55% Healthcare
51 CDRE Cadre Holdings, Inc. $1.27B 29.76 36.74 18.47 Δ 18.27 10.12% 5.77% 8.57% 2.80% 1.13% -5.64% Industrials
52 COYA Coya Therapeutics, Inc. $111.66M 4.76 -4.14 -2.61 Δ -1.53 -51.17% -27.57% - - 0.00% -23.23% Healthcare
53 EIX Edison International $21.85B 56.77 5.86 8.72 Δ -2.86 8.50% 4.09% 2.28% 8.10% 5.22% +6.43% Utilities
54 ENOV Enovis Corporation $1.07B 18.56 -0.96 4.56 Δ -5.52 -34.74% 1.70% 9.52% - 0.00% -37.28% Healthcare
55 ENSG The Ensign Group, Inc. $9.95B 170.79 26.81 19.97 Δ 6.84 9.31% 5.49% 13.15% 15.89% 0.14% +2.87% Healthcare
56 FLOC Flowco Holdings Inc. $882.49M 21.10 17.15 11.94 Δ 5.21 9.50% 5.58% 114.15% - 1.72% +32.80% Energy
57 FWRG First Watch Restaurant Group, Inc. $743.63M 12.05 43.04 47.40 Δ -4.36 1.75% 1.18% 18.73% - 0.00% -32.68% Consumer Cyclical
58 GIGM GigaMedia Limited $15.36M 1.39 -7.32 - - -8.60% -4.00% -14.64% - 0.00% -8.55% Communication Services
59 GMED Globus Medical, Inc. $8.87B 78.29 20.02 14.84 Δ 5.18 9.99% 8.18% 16.74% 16.50% 0.00% +24.69% Healthcare
60 GP GreenPower Motor Company Inc. $6.06M 0.85 -0.54 -1.89 Δ 1.35 -23.25% -2.90% -25.54% 21.20% 0.00% -78.64% Industrials
61 HCWC Healthy Choice Wellness Corp. $186.67M 7.02 -20.65 - - -11.95% -4.43% 18.50% - 0.00% +1,655.00% Consumer Defensive
62 HEI-A HEICO Corporation $20.30B 240.18 42.97 55.73 Δ -12.76 13.29% 8.23% 12.76% 16.91% 0.09% -1.72% Industrials
63 HLT Hilton Worldwide Holdings Inc. $70.04B 311.18 45.56 29.79 Δ 15.77 21.95% 11.03% 11.13% 5.10% 0.19% +14.28% Consumer Cyclical
64 HOV Hovnanian Enterprises, Inc. $622.75M 122.79 34.01 29.17 Δ 4.84 - 1.96% 3.98% 2.06% 0.00% -20.83% Consumer Cyclical
65 HSY The Hershey Company $25.33B 173.15 23.65 17.53 Δ 6.12 13.44% 9.92% 4.90% 8.19% 3.17% -0.96% Consumer Defensive
66 IP International Paper Company $19.72B 37.24 -6.91 12.67 Δ -19.58 7.85% 1.59% 0.43% - 4.56% -19.77% Consumer Cyclical
67 KBH KB Home $3.20B 52.25 12.71 11.78 Δ 0.93 - 3.39% 4.33% 7.68% 1.76% -16.54% Consumer Cyclical
68 KRRO Korro Bio, Inc. $180.24M 12.24 -1.24 -2.86 Δ 1.62 -119.97% -27.50% -22.26% - 0.00% -35.34% Healthcare
69 KTCC Key Tronic Corporation $26.17M 2.41 -1.51 - - 0.25% -1.56% 5.84% - 0.00% -15.44% Technology
70 LADR Ladder Capital Corp $1.25B 9.83 23.40 8.73 Δ 14.67 - 1.04% - 22.89% 9.64% -5.55% Real Estate
71 LFVN LifeVantage Corporation $78.85M 6.25 13.89 13.69 Δ 0.20 27.27% 6.44% 13.48% -3.22% 3.06% -55.77% Consumer Defensive
72 MGIH MGIH $17.21M 1.53 -2.73 - - -21.99% -20.10% -23.73% - 0.00% -3.77% -
73 MGRC McGrath RentCorp $2.73B 111.59 17.97 16.07 Δ 1.90 - 6.10% 7.99% 10.14% 1.61% -6.90% Industrials
74 MHF MHF - 6.75 - - - - - - - 0.00% -2.47% -
75 MOB MOB $61.80M 5.06 -1.89 - - -54.95% - 27.66% - 0.00% -17.05% -
76 MTH Meritage Homes Corporation $4.39B 67.33 14.03 10.87 Δ 3.16 - 3.35% - 1.36% 2.66% -11.52% Consumer Cyclical
77 NIM NIM - 9.19 - - - - - - - 0.00% +3.53% -
78 NMRK Newmark Group, Inc. $2.38B 15.25 19.06 6.93 Δ 12.13 7.52% 2.86% 8.32% -3.16% 1.60% -11.62% Real Estate
79 OSW OneSpaWorld Holdings Limited $2.27B 22.40 28.35 17.16 Δ 11.19 12.85% 8.23% 9.58% 12.65% 0.75% +1.34% Consumer Cyclical
80 PHM PulteGroup, Inc. $23.71B 124.45 12.71 11.06 Δ 1.65 - 9.21% 6.16% 9.54% 0.80% -3.48% Consumer Cyclical
81 RDW Redwire Corporation $2.51B 10.53 -8.78 -31.91 Δ 23.13 -17.76% -6.01% 52.41% - 0.00% +9.01% Industrials
82 REAX The Real Brokerage Inc. $4.07B 18.67 -266.71 -466.75 Δ 200.04 -16.47% -1.22% 72.76% - 0.00% +314.89% Real Estate
83 RIVN Rivian Automotive, Inc. $22.73B 15.74 -6.08 -8.81 Δ 2.73 -32.09% -14.37% - - 0.00% +28.18% Consumer Cyclical
84 RPM RPM International Inc. $13.47B 105.52 20.41 15.62 Δ 4.79 15.38% 7.63% 5.44% 11.28% 1.87% -12.36% Basic Materials
85 SHIM Shimmick Corporation $154.52M 3.77 -6.39 9.20 Δ -15.59 -85.67% -4.26% -5.79% - 0.00% +72.15% Industrials
86 STOK Stoke Therapeutics, Inc. $1.92B 29.81 -8.57 -8.65 Δ 0.08 -5.71% -35.87% 145.89% - 0.00% +76.29% Healthcare
87 SUI Sun Communities, Inc. $14.72B 119.44 153.13 39.27 Δ 113.86 - 2.56% 15.49% 60.78% 3.59% -3.40% Real Estate
88 SYK Stryker Corporation $116.27B 303.13 31.41 18.09 Δ 13.32 12.21% 8.16% 8.28% 6.66% 1.04% -19.19% Healthcare
89 TAP Molson Coors Beverage Company $7.05B 40.50 -3.46 8.13 Δ -11.59 -13.41% 3.66% 4.23% - 4.53% -14.39% Consumer Defensive
90 TDF TDF - 10.68 9.98 4.99 Δ 4.99 - - - - 0.00% -0.77% -
91 ULBI Ultralife Corporation $102.11M 6.13 -15.72 6.81 Δ -22.53 3.50% 1.64% 1.44% - 0.00% -10.51% Industrials
92 WEA WEA - - - - - - - - - 0.00% - -
93 WIA WIA $184.48M 7.91 - - - - - - - 0.00% +1.62% -
94 WOOF Petco Health and Wellness Company, Inc. $644.21M 2.60 130.00 9.36 Δ 120.64 2.98% 1.60% 4.32% -36.92% 0.00% -27.31% Consumer Cyclical
95 WY Weyerhaeuser Company $16.59B 23.02 35.42 34.14 Δ 1.28 2.91% 0.67% -2.67% -5.11% 3.30% -7.47% Real Estate
96 ZJYL ZJYL $16.28M 2.08 10.40 20.80 Δ -10.40 2.06% 2.23% 2.53% -23.93% 0.00% -83.23% -
97 ZTEK ZTEK $60.36M 0.56 -6.22 - - -85.96% -64.74% 31.60% - 0.00% -33.10% -
98 ZWS Zurn Elkay Water Solutions Corporation $7.90B 47.61 29.57 23.34 Δ 6.23 11.92% 8.74% 0.73% 5.55% 0.85% +4.77% Industrials
99 AARD Aardvark Therapeutics, Inc. $117.74M 5.38 -1.68 -1.74 Δ 0.06 -58.82% -36.54% - -108.20% 0.00% -51.96% Healthcare
100 ACHR Archer Aviation Inc. $4.36B 5.71 -5.19 -6.11 Δ 0.92 -30.88% -29.59% - - 0.00% -44.02% Industrials
101 ACVA ACV Auctions Inc. $1.22B 6.98 -19.39 20.90 Δ -40.29 -9.51% -2.45% 38.67% - 0.00% -39.67% Consumer Cyclical
102 ADAG ADAG $212.05M 3.58 -4.85 - - -40.38% -22.50% -6.19% - 0.00% +62.73% -
103 ADUR Aduro Clean Technologies Inc. $481.32M 13.58 -32.33 -41.64 Δ 9.31 -96.24% -35.04% - - 0.00% +12.70% Industrials
104 ALMS Alumis Inc. $1.37B 11.10 -6.24 -3.76 Δ -2.48 -134.01% -58.79% - - 0.00% +151.13% Healthcare
105 ALTI AlTi Global, Inc. $332.23M 3.00 -2.42 7.50 Δ -9.92 -6.63% -3.73% 49.13% - 0.00% -31.51% Financial Services
106 ANAB AnaptysBio, Inc. $1.68B 56.80 -55.69 10.85 Δ -66.54 14.70% 6.78% 29.58% - 0.00% +311.20% Healthcare
107 AP Ampco-Pittsburgh Corporation $176.43M 8.68 -2.57 37.74 Δ -40.31 -14.93% 1.53% 2.09% - 0.00% +170.40% Industrials
108 ASPN Aspen Aerogels, Inc. $407.76M 4.92 -3.24 -32.48 Δ 29.24 -14.91% -9.17% 12.86% - 0.00% -34.14% Basic Materials
109 AWI Armstrong World Industries, Inc. $7.33B 173.33 23.74 18.17 Δ 5.57 26.00% 10.62% -3.32% 9.00% 0.74% -11.01% Industrials
110 BCO The Brink's Company $4.48B 108.87 25.20 10.52 Δ 14.68 11.45% 4.90% 3.23% 0.54% 0.90% -1.34% Industrials
111 BCV BCV $141.08M 24.24 3.29 1.65 Δ 1.64 - 24.68% 0.48% 0.52% 0.00% +23.97% -
112 BFAM Bright Horizons Family Solutions Inc. $3.70B 70.25 22.30 11.93 Δ 10.37 10.76% 6.14% 8.20% 30.28% 0.00% -41.25% Consumer Cyclical
113 BJ BJ's Wholesale Club Holdings, Inc. $11.90B 93.19 21.42 19.02 Δ 2.40 16.87% 6.82% 6.33% 33.06% 0.00% -9.90% Consumer Defensive
114 BTT BTT $1.48B 22.49 24.71 - - - 1.94% - - 0.00% +2.19% -
115 CBRE CBRE Group, Inc. $42.81B 147.85 33.91 16.30 Δ 17.61 9.45% 2.58% 12.83% 9.00% 0.00% -7.40% Real Estate
116 CRDO AI Credo Technology Group Holding Ltd $31.81B 170.57 67.96 18.79 Δ 49.17 21.21% 17.92% 70.77% 166.14% 0.00% +40.82% Technology
117 CRWS Crown Crafts, Inc. $29.27M 2.72 16.00 3.58 Δ 12.42 1.94% 1.18% -0.60% -5.50% 10.67% +8.67% Consumer Cyclical
118 CSL Carlisle Companies Incorporated $13.98B 352.14 20.00 14.62 Δ 5.38 18.14% 10.81% 3.35% 10.75% 1.15% -10.64% Industrials
119 DKNG DraftKings Inc. $11.91B 24.01 266.78 14.41 Δ 252.37 -0.57% 0.70% 58.02% - 0.00% -44.37% Consumer Cyclical
120 DPU DPU - 2.07 - - - - - - - 0.00% -28.62% -
121 DSU DSU $583.81M 9.38 - - - - - - - 0.00% +0.06% -
122 DSY DSY $16.83M 3.87 -0.48 - - -1.39% 7.14% 94.27% - 0.00% -81.01% -
123 EIM EIM $487.01M 9.48 -31.60 - - - -2.37% - - 0.00% -1.42% -
124 ELS Equity LifeStyle Properties, Inc. $12.11B 62.42 30.15 28.69 Δ 1.46 7.78% 5.91% 7.28% 19.93% 3.36% +6.02% Real Estate
125 EOT EOT $263.12M 16.84 - - - - - - - 0.00% +7.50% -
126 EPRT Essential Properties Realty Trust, Inc. $6.41B 29.64 22.98 21.44 Δ 1.54 - 3.58% 33.86% 58.68% 4.12% +1.43% Real Estate
127 EVH Evolent Health, Inc. $485.92M 4.32 -0.96 12.27 Δ -13.23 -27.09% -0.74% 24.87% - 0.00% -51.84% Healthcare
128 EVN EVN $423.40M 10.62 11.42 22.84 Δ -11.42 - 0.07% - - 0.00% +5.15% -
129 EXR Extra Space Storage Inc. $29.42B 139.25 30.74 29.27 Δ 1.47 5.12% 3.36% 13.99% 21.45% 4.33% +5.45% Real Estate
130 FELE Franklin Electric Co., Inc. $4.41B 99.76 28.67 19.32 Δ 9.35 16.81% 8.60% 6.37% 7.34% 1.02% +1.83% Industrials
131 FSS Federal Signal Corporation $7.28B 119.28 25.71 20.81 Δ 4.90 16.15% 11.75% 6.89% 15.95% 0.47% -7.57% Industrials
132 FTRK FTRK $18.91M 0.89 -3.18 - - -55.35% -46.66% 254.98% - 0.00% -90.63% -
133 GANX Gain Therapeutics, Inc. $76.78M 1.80 -3.10 -3.00 Δ -0.10 -96.12% -81.15% 24.09% - 0.00% +16.13% Healthcare
134 GEHC GE HealthCare Technologies Inc. $31.32B 68.86 15.87 12.73 Δ 3.14 9.94% 5.13% 4.07% -1.87% 0.20% -8.41% Healthcare
135 GIII G-III Apparel Group, Ltd. $1.17B 27.74 9.77 11.23 Δ -1.46 7.58% 5.83% 9.10% 5.15% 1.12% +7.25% Consumer Cyclical
136 GPK Graphic Packaging Holding Company $3.09B 10.43 16.05 9.04 Δ 7.01 8.44% 3.13% 4.73% 13.76% 3.71% -53.33% Consumer Cyclical
137 GRBK Green Brick Partners, Inc. $3.06B 71.09 10.71 10.95 Δ -0.24 2.84% 9.45% 10.75% 22.47% 0.00% +0.18% Consumer Cyclical
138 HEI HEICO Corporation $17.98B 325.48 58.23 46.99 Δ 11.24 13.29% 8.23% 12.76% 16.91% 0.07% +4.09% Industrials
139 HIMS Hims & Hers Health, Inc. $6.18B 27.71 -307.89 21.24 Δ -329.13 6.03% 0.60% 74.71% - 0.00% -42.67% Healthcare
140 HLMN Hillman Solutions Corp. $1.49B 7.68 38.40 10.97 Δ 27.43 5.43% 2.87% 4.18% - 0.00% -25.80% Industrials
141 HPP Hudson Pacific Properties, Inc. $684.31M 12.61 -1.43 -4.47 Δ 3.04 1.94% -0.01% 0.64% - 0.00% -31.24% Real Estate
142 HXHX HXHX $6.60M 0.48 2.08 1.66 Δ 0.42 25.14% 7.89% 4.51% -2.55% 0.00% -52.67% -
143 HYMC Hycroft Mining Holding Corporation $2.11B 22.69 -28.01 -31.30 Δ 3.29 -17.42% -26.90% - - 0.00% +498.68% Basic Materials
144 IA IA - 18.52 - - - - - - - 0.00% +59.38% -
145 INGR Ingredion Incorporated $6.39B 101.26 11.01 8.92 Δ 2.09 15.44% 7.33% 3.62% 6.09% 3.19% -18.40% Consumer Defensive
146 INM InMed Pharmaceuticals Inc. $7.37M 1.38 -0.94 -0.22 Δ -0.72 -57.84% -54.61% 26.93% - 0.00% -38.67% Healthcare
147 IRT Independence Realty Trust, Inc. $3.79B 16.09 89.39 100.56 Δ -11.17 1.02% 1.29% 119.42% 89.10% 4.05% -4.69% Real Estate
148 JRI JRI - 12.14 - - - - - - - 0.00% +1.29% -
149 KODK Eastman Kodak Company $909.55M 9.29 -6.78 - - 0.00% 5.38% -11.49% - 0.00% +70.77% Industrials
150 LEU Centrus Energy Corp. $3.30B 173.89 -0.55 47.92 Δ -48.47 2.48% 0.02% -7.26% 2.97% 0.00% -7.23% Energy
151 LGVN Longeveron Inc. $205.31M 6.81 -5.97 -4.45 Δ -1.52 - -67.41% -26.60% - 0.00% +691.86% Healthcare
152 LOAR Loar Holdings Inc. $6.36B 67.85 95.56 43.13 Δ 52.43 5.40% 4.75% 25.03% - 0.00% -0.56% Industrials
153 MAIA MAIA Biotechnology, Inc. $80.26M 1.32 -1.94 1.18 Δ -3.12 - -68.33% - - 0.00% -17.50% Healthcare
154 MAZE Maze Therapeutics, Inc. $1.45B 26.21 -11.15 -8.22 Δ -2.93 -38.15% -22.27% - - 0.00% +92.72% Healthcare
155 MCRI Monarch Casino & Resort, Inc. $2.18B 121.52 19.51 17.62 Δ 1.89 7.23% 12.90% 8.38% 20.94% 0.98% +21.59% Consumer Cyclical
156 MNST Monster Beverage Corporation $42.92B 43.82 20.29 16.73 Δ 3.56 28.33% 17.72% 13.03% 14.82% 0.00% -31.69% Consumer Defensive
157 MPA MPA $139.08M 10.74 - - - - - - - 0.00% +3.31% -
158 MRKR Marker Therapeutics, Inc. $19.67M 1.18 -2.15 -1.56 Δ -0.59 -74.05% -43.59% - - 0.00% -8.53% Healthcare
159 MTN Vail Resorts, Inc. $4.81B 134.96 29.09 21.35 Δ 7.74 13.62% 4.86% 7.00% 11.52% 6.05% -9.46% Consumer Cyclical
160 MYI MYI - 10.47 - - - - - - - 0.00% +4.12% -
161 MZTI The Marzetti Company $2.89B 105.39 16.49 14.60 Δ 1.89 20.24% 10.97% 4.02% 2.53% 3.63% -40.86% Consumer Defensive
162 NAZ NAZ - 11.96 - - - - - - - 0.00% +7.82% -
163 NCT NCT $426.80K 0.40 0.16 0.32 Δ -0.16 17.08% 4.82% -9.65% -39.16% 0.00% -98.67% -
164 NKLR Terra Innovatum Global N.V. $582.34M 5.27 1.09 -16.73 Δ 17.82 -32.72% -45.49% - - 0.00% -57.22% Utilities
165 NKX NKX - 11.98 - - - - - - - 0.00% +7.12% -
166 NMZ NMZ - 9.86 140.86 281.72 Δ -140.86 - - - - 0.00% +4.17% -
167 NRO NRO $181.21M 2.86 -15.89 - - - -2.25% - - 0.00% -1.48% -
168 NUW NUW $248.09M 13.82 9.09 18.18 Δ -9.09 - 3.05% - - 0.00% +3.30% -
169 NXP NXP $877.10M 14.02 66.76 33.38 Δ 33.38 - 3.13% 626.03% - 0.00% +3.81% -
170 PDYN AI Palladyne AI Corp. $281.72M 5.71 -8.04 -7.79 Δ -0.25 -35.99% -29.99% -9.86% - 0.00% -26.79% Technology
171 PFL PFL - 7.53 6.85 5.68 Δ 1.17 - - 45.36% 45.70% 0.00% -0.82% -
172 PINS Pinterest, Inc. $9.83B 20.40 60.00 8.57 Δ 51.43 6.36% 3.51% 36.72% - 0.00% -42.98% Communication Services
173 PRKS United Parks & Resorts Inc. $1.83B 40.45 16.12 8.88 Δ 7.24 16.38% 7.84% 1.60% 16.81% 0.00% -23.33% Consumer Cyclical
174 PTHS Pelthos Therapeutics Inc. $84.63M 24.35 -1.06 -11.46 Δ 10.40 -31.06% -36.45% - - 0.00% +33.94% Healthcare
175 PTLO Portillo's Inc. $320.53M 4.42 24.56 16.85 Δ 7.71 3.09% 1.80% 7.31% - 0.00% -45.20% Consumer Cyclical
176 RCL Royal Caribbean Cruises Ltd. $70.93B 265.19 16.38 13.07 Δ 3.31 16.61% 7.68% 6.52% 13.36% 1.56% -13.94% Consumer Cyclical
177 REAL The RealReal, Inc. $1.20B 9.86 -16.16 43.70 Δ -59.86 -16.53% -2.15% 22.40% - 0.00% +26.41% Consumer Cyclical
178 REYN Reynolds Consumer Products Inc. $4.61B 21.85 13.66 13.01 Δ 0.65 12.20% 6.98% 3.76% 9.36% 3.50% -2.19% Consumer Cyclical
179 RGP Resources Connection, Inc. $139.15M 4.04 -3.34 -50.50 Δ 47.16 -20.15% -2.30% -2.80% - 6.69% -12.71% Industrials
180 ROAD Construction Partners, Inc. $5.02B 104.68 45.71 27.93 Δ 17.78 8.46% 6.21% 22.13% 18.58% 0.00% -9.88% Industrials
181 SCNX Scienture Holdings, Inc. $15.03M 0.37 -0.15 -6.17 Δ 6.02 -52.30% -10.82% -6.41% - 0.00% -83.20% Healthcare
182 SKIL Skillsoft Corp. $61.07M 6.81 -0.46 1.47 Δ -1.93 -15.17% -2.42% -0.07% - 0.00% -53.74% Consumer Defensive
183 SKYW SkyWest, Inc. $3.93B 99.06 9.84 8.19 Δ 1.65 10.80% 5.04% 2.79% 10.75% 0.00% -16.48% Industrials
184 SOUN AI SoundHound AI, Inc. $2.72B 6.74 -10.87 -47.30 Δ 36.43 -3.78% -19.52% 68.02% - 0.00% -59.15% Technology
185 SPIR Spire Global, Inc. $463.76M 11.98 7.53 -47.92 Δ 55.45 -69.20% -27.19% 20.22% - 0.00% +8.42% Industrials
186 SPRC SPRC $1.93M 5.29 0.03 0.05 Δ -0.02 - - -14.03% - 0.00% -73.64% -
187 STE STERIS plc $21.89B 224.59 27.46 18.36 Δ 9.10 11.49% 6.80% 9.55% 24.36% 1.11% -6.45% Healthcare
188 TBCH Turtle Beach Corporation $247.70M 12.48 624.00 13.42 Δ 610.58 15.17% 2.20% 44.58% -16.50% 0.00% -22.05% Technology
189 TDY Teledyne Technologies Incorporated $28.29B 610.65 29.51 22.89 Δ 6.62 8.56% 5.14% 7.74% 13.04% 0.00% +11.00% Technology
190 TMQ Trilogy Metals Inc. $566.61M 3.28 -10.93 -36.04 Δ 25.11 -7.60% -4.92% - - 0.00% +105.31% Basic Materials
191 TNL Travel + Leisure Co. $4.06B 66.33 17.93 7.48 Δ 10.45 10.53% 7.36% -0.39% -14.62% 3.10% +11.40% Consumer Cyclical
192 TOL Toll Brothers, Inc. $13.29B 142.16 10.79 10.07 Δ 0.72 14.87% 7.53% 8.25% 24.70% 0.69% +7.40% Consumer Cyclical
193 TPB Turning Point Brands, Inc. $1.47B 76.00 32.34 33.83 Δ -1.49 13.84% 6.82% 7.91% 8.78% 0.38% -23.63% Consumer Defensive
194 TRSG TRSG - - - - - -1.22% -0.05% -1.47% - 0.00% - -
195 USGO U.S. GoldMining Inc. $115.88M 8.35 -14.15 - - -90.25% -86.00% - - 0.00% +8.02% Basic Materials
196 VCV VCV - - - - - - - - - 0.00% - -
197 VMO VMO - 9.53 - - - - - - - 0.00% +11.71% -
198 VRME VerifyMe, Inc. $7.87M 0.60 -1.54 15.00 Δ -16.54 -11.10% -5.96% 44.61% - 0.00% -35.09% Industrials
199 WRBY Warby Parker Inc. $2.62B 24.35 - 41.04 - -0.93% -0.51% 18.67% - 0.00% -9.18% Healthcare
200 WTM White Mountains Insurance Group, Ltd. $5.02B 2,103.49 4.80 23.37 Δ -18.57 - 3.56% -0.13% 21.70% 0.05% +12.55% Financial Services
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Multi-EMA bearish stack (≥3 downs in 5d) screener — FAQ

What is the Multi-EMA bearish stack (≥3 downs in 5d) stock screener?
Stocks with three or more bearish EMA crossovers in the last 5 trading days — a strong, broad-based momentum breakdown. It scans USA stocks and currently lists 200 matching companies, refreshed every trading day.
How often is the Multi-EMA bearish stack (≥3 downs in 5d) screen updated?
The screen is recalculated every trading day after market close using the latest price, volume and fundamental data.
How many USA stocks match the Multi-EMA bearish stack (≥3 downs in 5d) screen today?
200 USA stocks currently match the Multi-EMA bearish stack (≥3 downs in 5d) screen.
Is the USA Multi-EMA bearish stack (≥3 downs in 5d) screener free to use?
Yes. HeRAI is a completely free AI stock screener — no signup, login or payment required.