๐Ÿ“ˆ Jumpstart Signal Watchlist โ€” May 22, 2026

๐Ÿš€ Growth ($5-$20)

# Ticker Signal Industry Score (100) Q+E+S+B Price Change RSI 3yr High
1 MITK ๐Ÿ“Œ MONITOR Computer Peripheral Equipment 52 (31+6+5+10) $16.03 +3.4% 63 $16.03
Screening Criteria โ†“

โš–๏ธ Momentum ($20-$100)

# Ticker Signal Industry Score (100) Q+E+S+B Price Change RSI 3yr High
1 ATEN ๐Ÿ“Œ MONITOR Computer Communications Equi... 70 ๐ŸŽ“ (55+0+5+10) $29.16 +1.4% 68 $29.16
2 NVEC ๐Ÿ“Œ MONITOR Semiconductors 69 ๐ŸŽ“ (47+2+10+10) $91.25 +1.4% 59 $97.44
3 CBL ๐Ÿ“Œ MONITOR REITs 66 ๐ŸŽ“ (54+2+10+0) $47.23 -1.6% 63 $47.97
4 CSTM ๐Ÿ“Œ MONITOR Primary Metal Industries 64 (52+2+10+0) $33.24 +3.8% 58 $34.56
5 CENX ๐Ÿ“Œ MONITOR Primary Aluminum 61 (47+9+5+0) $65.05 +8.1% 59 $67.94
Screening Criteria โ†“

๐Ÿ† SPOTLIGHT   |   โœ… OPPORTUNITY   |   ๐Ÿ“Œ MONITOR

๐Ÿš€ Growth โ€” Analysis

MITK ๐Ÿ“Œ MONITOR - Mitek Systems, Inc.
Score: 52/100 (31+6+5+10) Price: $16.03 Chg: +3.4% RSI: 63 Vol: 1.6M 3yr High: $16.03

๐Ÿข What they do: Mitek Systems, Inc. (MITK) specializes in digital identity verification, authentication, biometrics, mobile image capture, and fraud detection solutions. Its enterprise-grade platform enables secure onboarding, check deposits, transaction protection, and real-time defense against threats like deepfakes and synthetic fraud for banks, fintechs, and other organizations.
- ๐ŸŽฏ At/above 3yr high $16.03 (current $16.03) ยท โณ SMA200 $11.38 (current price $16.03 is above) ยท ๐Ÿ’ฐ Market Cap $719M
- MITK passed all filters and shows favorable conditions.

๐Ÿ’Ž Quality (Q): 31/60
- ๐Ÿฆ Low drawdown (13.8% max); EMA21 above EMA50; EMA uptrend sustained 5+ days; Low LT D/E 0.21 (<1.0).
โฐ Entry (E): 6/20
- ๐Ÿ”” Strong above EMA21 (9.2%)
- ๐Ÿ”” Strong above EMA50 (12.6%)
- ๐Ÿ“ˆ RSI at 63 showing strength
๐Ÿ“ข Sentiment (S): 5/10
- ๐Ÿ—ž๏ธ No recent news coverage available.
๐Ÿญ Bonus (B): 10/10 โ€” Computer Peripheral Equipment (Technology sector)

โš–๏ธ Momentum โ€” Analysis

ATEN ๐Ÿ“Œ MONITOR - A10 Networks, Inc.
Score: 70/100 (55+0+5+10) Price: $29.16 Chg: +1.4% RSI: 68 Vol: 685K 3yr High: $29.16

๐Ÿข What they do: A10 Networks is an American public company specializing in application delivery controllers and cybersecurity solutions for on-premises, cloud, and edge environments. The company provides software and hardware products that secure applications, networks, and infrastructure from cyber threats while optimizing performance and availability across hybrid cloud architectures.
- ๐ŸŽฏ At/above 3yr high $29.16 (current $29.16) ยท โณ SMA200 $19.94 (current price $29.16 is above) ยท ๐Ÿ’ฐ Market Cap $2.1B
- ATEN passed all filters and shows favorable conditions.

๐Ÿ’Ž Quality (Q): 55/60
- ๐Ÿฆ Base breakout (range: 6.2%); Low drawdown (9.5% max); EMA21 above EMA50; EMA uptrend sustained 5+ days; EPS growth 31% (>20%); ROE 23% (>15%).
โฐ Entry (E): 0/20
- ๐Ÿ”” Strong above EMA21 (5.7%)
- ๐Ÿ”” Strong above EMA50 (13.4%)
- ๐Ÿ”” VWMA trending up (5 consecutive days)
- ๐Ÿ“ˆ RSI at 68 showing strength
๐Ÿ“ข Sentiment (S): 5/10
- ๐Ÿ—ž๏ธ News sentiment is neutral.
โšช๏ธ April Monthly Roundup: Locking in Big Gains as We Pull Ahead of the S&P 500 โ€” TheStreet Pro.
๐Ÿค– This roundup mentions A10 Networks (ATEN) as a portfolio holding, but it does not provide company-specific operational news, earnings results, or analyst commentary. It is not clearly positive or negative for ATEN on its own.
๐Ÿญ Bonus (B): 10/10 โ€” Computer Communications Equipment (Technology sector)

NVEC ๐Ÿ“Œ MONITOR - NVE Corporation
Score: 69/100 (47+2+10+10) Price: $91.25 Chg: +1.4% RSI: 59 Vol: 160K 3yr High: $97.44

๐Ÿข What they do: NVE Corporation is a leader in spintronics, a nanotechnology that uses electron spin to acquire, store, and transmit information. It manufactures and sells high-performance spintronic products including sensors and couplers for industrial, medical, and IoT applications, while licensing MRAM intellectual property and conducting contract R&D.
- ๐ŸŽฏ Current $91.25 is 6% below 3yr high $97.44 ยท โณ SMA200 $69.53 (current price $91.25 is above) ยท ๐Ÿ’ฐ Market Cap $441M
- NVEC shows decent technicals supported by positive sentiment.

๐Ÿ’Ž Quality (Q): 47/60
- ๐Ÿฆ EMA21 above EMA50; EMA uptrend sustained 5+ days; EPS growth 28% (>20%); ROE 26% (>15%); Low LT D/E 0.00 (<1.0); Near-high ROE setup (52wk high + ROE).
โฐ Entry (E): 2/20
- ๐Ÿ”” Strong above EMA21 (6.0%)
- ๐Ÿ”” Strong above EMA50 (13.2%)
๐Ÿ“ข Sentiment (S): 10/10
- ๐Ÿ—ž๏ธ News sentiment is positive.
โœ… NVE Corporation Reports Fourth Quarter and Fiscal Year Results and Announces Quarterly Dividend โ€” Business Wire.
๐Ÿค– NVE reported fiscal Q4 and full-year results with net income rising to $4.9 million in the quarter and $15.2 million for the year. The company also announced a $1.00 quarterly dividend, which is supportive for shareholder returns.
โœ… NVE Q4 Earnings Call Highlights โ€” MarketBeat.
๐Ÿค– The earnings highlights note Q4 revenue growth of 5% year over year to $7.65 million and net income growth of 27% to $4.9 million. Strong margins and growth in non-defense product sales are constructive signals for the stock.
โœ… NVE Corporation to Issue Quarterly Dividend of $1.00 (NASDAQ:NVEC) โ€” MarketBeat.
๐Ÿค– This article reports NVE's quarterly dividend declaration and confirms the payout details. A regular dividend can be viewed positively by income-focused investors, though it does not change operating fundamentals.
๐Ÿญ Bonus (B): 10/10 โ€” Semiconductors (Technology sector)

CBL ๐Ÿ“Œ MONITOR - CBL & Associates Properties, Inc.
Score: 66/100 (54+2+10+0) Price: $47.23 Chg: -1.6% RSI: 63 Vol: 201K 3yr High: $47.97

๐Ÿข What they do: CBL & Associates Properties, Inc. (CBL) is a real estate investment trust (REIT) that owns and manages a national portfolio of retail properties, including enclosed malls, outlet centers, lifestyle centers, and open-air centers across 20 states. The company focuses on active management, leasing, redevelopment, and creating integrated shopping experiences with retail, dining, and entertainment.
- ๐ŸŽฏ Current $47.23 is 2% below 3yr high $47.97 ยท โณ SMA200 $35.82 (current price $47.23 is above) ยท ๐Ÿ’ฐ Market Cap $1.5B
- CBL shows decent technicals supported by positive sentiment.

๐Ÿ’Ž Quality (Q): 54/60
- ๐Ÿฆ Low drawdown (10.6% max); EMA21 above EMA50; EMA uptrend sustained 5+ days; EPS growth 448% (>20%); Revenue growth 19% (>15%); ROE 36% (>15%).
โฐ Entry (E): 2/20
- ๐Ÿ”” VWMA trending up (5 consecutive days)
- ๐Ÿ“ˆ RSI at 63 showing strength
๐Ÿ“ข Sentiment (S): 10/10
- ๐Ÿ—ž๏ธ News sentiment is positive.
โœ… Cbl stock hits all-time high at $46.19 โ€” Investing.com.
๐Ÿค– CBL & Associates Properties shares reached a new all-time high, which is typically a bullish technical signal and indicates strong recent investor demand for the stock.
โœ… CBL & Associates Properties stock hits all-time high at 45.49 USD โ€” Investing.com.
๐Ÿค– The stock reached a new peak, signaling continued upward momentum. A fresh all-time high is generally positive for sentiment around $CBL.
๐Ÿญ Bonus (B): 0/10 โ€” REITs

CSTM ๐Ÿ“Œ MONITOR - Constellium SE Ordinary Shares (France)
Score: 64/100 (52+2+10+0) Price: $33.24 Chg: +3.8% RSI: 58 Vol: 2.1M 3yr High: $34.56

๐Ÿข What they do: Constellium SE designs and manufactures specialty rolled and extruded aluminum products for the aerospace, packaging, and automotive industries. The company operates through three segments: Packaging & Automotive Rolled Products, Aerospace & Transportation, and Automotive Structures & Industry, serving blue-chip customers with performance-critical applications.
- ๐ŸŽฏ Current $33.24 is 4% below 3yr high $34.56 ยท โณ SMA200 $21.08 (current price $33.24 is above) ยท ๐Ÿ’ฐ Market Cap $4.5B
- CSTM shows decent technicals supported by positive sentiment.

๐Ÿ’Ž Quality (Q): 52/60
- ๐Ÿฆ EMA21 above EMA50; EMA uptrend sustained 5+ days; EPS growth 446% (>20%); Revenue growth 24% (>15%); ROE 27% (>15%); Low LT D/E 0.00 (<1.0).
โฐ Entry (E): 2/20
- ๐Ÿ”” Strong above EMA50 (11.2%)
- ๐Ÿ”” VWMA trending up (5 consecutive days)
๐Ÿ“ข Sentiment (S): 10/10
- ๐Ÿ—ž๏ธ News sentiment is positive.
โœ… Constellium Q1 EBITDA Jumps 93%, Raises 2026 View - Stock Titan โ€” Stock Titan.
๐Ÿค– Constellium reported strong Q1 2026 results with revenue up 24% year over year, net income rising to $196 million, and adjusted EBITDA increasing sharply. Management also raised full-year 2026 guidance for adjusted EBITDA and free cash flow, which is supportive for the stock.
โœ… Constellium lifts 2026 outlook after Q1 profit jump | CSTM 8-K Filing โ€” StockTitan.
๐Ÿค– The company said Q1 2026 revenue, net income, and adjusted EBITDA all improved materially, and it raised its 2026 guidance. Higher profitability and better cash flow expectations are positive signals for $CSTM.
โœ… Constellium (CSTM) Surpasses Q1 Earnings and Revenue Estimates โ€” Zacks.
๐Ÿค– Constellium beat consensus earnings expectations and slightly exceeded revenue estimates for the quarter ended March 2026. Earnings and revenue beats are typically favorable for share price sentiment.
๐Ÿญ Bonus (B): 0/10 โ€” Primary Metal Industries

CENX ๐Ÿ“Œ MONITOR - Century Aluminum Company
Score: 61/100 (47+9+5+0) Price: $65.05 Chg: +8.1% RSI: 59 Vol: 2.0M 3yr High: $67.94

๐Ÿข What they do: Century Aluminum Company (CENX) is a global producer of bauxite, alumina, and primary aluminum. It operates bauxite mining and alumina refining in Jamaica (Jamalco), aluminum smelters in the United States (Hawesville and Sebree in Kentucky, Mt.
- ๐ŸŽฏ Current $65.05 is 4% below 3yr high $67.94 ยท โณ SMA200 $41.32 (current price $65.05 is above) ยท ๐Ÿ’ฐ Market Cap $6.4B
- CENX passed all filters and shows favorable conditions.

๐Ÿ’Ž Quality (Q): 47/60
- ๐Ÿฆ EMA21 above EMA50; EMA uptrend sustained 5+ days; EPS growth 1014% (>20%); ROE 36% (>15%); Low LT D/E 0.22 (<1.0); Near-high ROE setup (52wk high + ROE).
โฐ Entry (E): 9/20
- ๐Ÿ”” Strong above EMA21 (7.6%)
- ๐Ÿ”” Strong above EMA50 (10.8%)
๐Ÿ“ข Sentiment (S): 5/10
- ๐Ÿ—ž๏ธ No recent news coverage available.
๐Ÿญ Bonus (B): 0/10 โ€” Primary Aluminum

๐Ÿ” Screening Criteria Changelog โ†’

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๐ŸŒฑ ESG/SRI Exclusions

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