| # | Ticker | Signal | Industry | Score (100) | Q+E+S+B | Price | Change | RSI | 3yr High |
|---|---|---|---|---|---|---|---|---|---|
| 1 | EXEL10 | ๐ MONITOR | Biological Products | 75 ๐ | (56+0+9+10) | $55.85 | +2.6% | 67 | $55.85 |
| 2 | PKE | โ OPPORTUNITY | Aircraft Parts | 69 | (54+6+9+0) | $37.83 | -2.4% | 63 | $38.23 |
| 3 | NTST1 | ๐ MONITOR | REITs | 64 | (54+2+8+0) | $21.66 | +2.2% | 66 | $21.66 |
| 4 | ATEN16 | ๐ MONITOR | Computer Communications Equi... | 62 | (44+0+8+10) | $36.30 | -3.5% | 68 | $38.00 |
| 5 | CENTA | ๐ MONITOR | Misc Nondurable Goods - Whol... | 61 | (51+0+10+0) | $38.43 | -1.0% | 63 | $44.79 |
๐ SPOTLIGHT | โ OPPORTUNITY | ๐ MONITOR
๐ข What they do: BlackBerry Limited provides secure software and services for governments, enterprises, and automakers. Its main products include cybersecurity and endpoint management software, secure communications and crisis-response tools, and QNX embedded software for vehicles and other connected systems.
- ๐ฏ Current $11.51 is 10% below 3yr high $12.81 ยท โณ SMA200 $4.91 (current price $11.51 is above) ยท ๐ฐ Market Cap $6.8B
- BB shows decent technicals supported by positive sentiment.
๐ Quality (Q): 46/60
- ๐ฆ EMA21 above EMA50; EMA uptrend sustained 5+ days; EPS growth 600% (>20%); Revenue growth 52% (>15%); Low LT D/E 0.26 (<1.0); PEG ratio 0.21 (<1.5).
โฐ Entry (E): 0/20
- ๐ Strong above EMA21 (15.6%)
- ๐ Strong above EMA50 (41.7%)
- ๐ VWMA trending up (5 consecutive days)
- ๐ RSI at 66 showing strength
๐ข Sentiment (S): 9/10
- ๐๏ธ News sentiment is positive.
โ
BlackBerry Limited $BB Stock Position Raised by Hsbc Holdings PLC โ MarketBeat.
๐ค HSBC Holdings PLC increased its stake in BlackBerry by 1,501.9% in Q4, signaling strong institutional confidence; the company also raised FY2027 guidance and beat EPS estimates ($0.04 vs $0.03), supporting a positive outlook despite a Hold consensus rating.
โ
BlackBerry Shares Are Climbing Wednesday: What's Happening? โ Benzinga.
๐ค BlackBerry shares rose 2.60% amid strong momentum, trading above all major moving averages with a golden cross; the company highlighted AtHoc Command Center updates and maintains a High-Flyer setup with strong Momentum and Growth scores.
โช๏ธ 1,026,996 Shares in BlackBerry Limited $BB Acquired by General ... โ MarketBeat.
๐ค General American Investors Co. acquired over 1 million shares, but Canaccord Genuity cut its price target from $4.60 to $4.40 with a Hold rating, creating mixed signals despite the institutional purchase.
๐ญ Bonus (B): 10/10 โ Prepackaged Software (Technology sector)
๐ข What they do: Alto Ingredients, Inc. produces and distributes specialty alcohols, renewable fuels, and essential ingredients. Its products include alcohols used in items like mouthwash, cosmetics, pharmaceuticals, and cleaners, as well as fuel-grade ethanol, yeast, feed ingredients, and other corn-based co-products for food, beverage, animal feed, and industrial uses.
- ๐ฏ Current $5.56 is 7% below 3yr high $5.99 ยท โณ SMA200 $3.19 (current price $5.56 is above) ยท ๐ฐ Market Cap $433M
- ALTO shows decent technicals supported by positive sentiment.
๐ Quality (Q): 45/60
- ๐ฆ EMA21 above EMA50; EMA uptrend sustained 5+ days; EPS growth 131% (>20%); Low LT D/E 0.31 (<1.0); PEG ratio 0.11 (<1.5).
๐ข Sentiment (S): 10/10
- ๐๏ธ News sentiment is positive.
โ
Alto Ingredients, Inc. (ALTO) Hits Fresh High: Is There Still Room to Run? โ Zacks.
๐ค The stock hit a new 52-week high of $6.11 and rose 8.1% over the past month, signaling strong bullish momentum and investor confidence in $ALTO's recent performance.
โ
Why Alto Ingredients Is Expanding Pekin Production Capacity โ Zacks.
๐ค Alto Ingredients holds a Zacks Rank #1 (Strong Buy) with consensus estimates projecting a massive 671.4% year-over-year EPS increase for 2026, driven by capacity expansion and strong stock performance.
โ
Alto Ingredients vs. Green Plains: Which Stock Offers More Upside? โ Zacks.
๐ค ALTO is deemed better positioned for growth than Green Plains, having returned to profitability in Q1 2026 with improved EBITDA and a more compelling valuation story at a forward price-to-sales ratio of 0.38.
๐ญ Bonus (B): 0/10 โ Industrial Organic Chemicals
๐ข What they do: DiamondRock Hospitality Company (DRH) is a self-advised real estate investment trust (REIT) that owns a portfolio of approximately 35-36 premium hotels and resorts with about 9,600 rooms, concentrated in U.S. gateway markets and leisure destinations.
- ๐ฏ Current $12.08 is 3% below 3yr high $12.47 ยท โณ SMA200 $9.52 (current price $12.08 is above) ยท ๐ฐ Market Cap $2.5B
- DRH shows decent technicals supported by positive sentiment.
๐ Quality (Q): 51/60
- ๐ฆ Low drawdown (10.8% max); EMA21 above EMA50; EMA uptrend sustained 5+ days; EPS growth 75% (>20%); Low LT D/E 0.76 (<1.0); PEG ratio 0.34 (<1.5).
โฐ Entry (E): 0/20
- ๐ VWMA trending up (5 consecutive days)
๐ข Sentiment (S): 7/10
- ๐๏ธ News sentiment is positive (mixed coverage).
โ
Diamondrock Hospitality stock hits 52-week high at $12.47 โ Investing.com.
๐ค DRH reached a 52-week high of $12.47 with a 67.17% one-year return, driven by strong Q1 earnings (EPS $0.07 vs. $0.03 forecast) and a $33M asset sale, though some analysts note it may be overvalued.
โ
Diamondrock Hospitality stock hits 52-week high at 12.04 USD โ Investing.com.
๐ค The stock hit a 52-week high of $12.04 with 63.8% annual return, supported by impressive Q1 results and a $33M Courtyard sale, prompting Stifel to raise its price target to $12.25 while maintaining a Hold rating.
โ Pzena Investment Management LLC Sells 2,481,976 Shares of DiamondRock Hospitality Company (DRH) โ MarketBeat.
๐ค Pzena cut its DRH stake by 46.7% in Q1, selling over 2.48 million shares, which signals reduced institutional confidence and could pressure the stock price.
โช๏ธ DiamondRock Hospitality director Merrill sells $237600 in stock โ Investing.com.
๐ค Director Kathleen Merrill sold 20,000 shares at $11.88 on June 12, 2026, near the 52-week high; while insider selling can be cautious, the sale occurred amid strong Q1 earnings and a $33M asset sale that boosted fundamentals.
๐ญ Bonus (B): 0/10 โ REITs
๐ข What they do: Exelixis is an oncology-focused biotechnology company that discovers, develops, and commercializes medicines for hard-to-treat cancers. Its main products include CABOMETYX (cabozantinib), COMETRIQ (cabozantinib), and COTELLIC (cobimetinib), and it also advances a pipeline of small molecules and biotherapeutics for cancer treatment.
- ๐ฏ At/above 3yr high $55.85 (current $55.85) ยท โณ SMA200 $43.98 (current price $55.85 is above) ยท ๐ฐ Market Cap $14.2B
- EXEL shows decent technicals supported by positive sentiment.
๐ Quality (Q): 56/60
- ๐ฆ Low drawdown (11.9% max); EMA21 above EMA50; EMA uptrend sustained 5+ days; EPS growth 44% (>20%); ROE 43% (>15%); Low LT D/E 0.00 (<1.0).
โฐ Entry (E): 0/20
- ๐ Strong above EMA21 (6.1%)
- ๐ Strong above EMA50 (11.3%)
- ๐ VWMA trending up (5 consecutive days)
- ๐ RSI at 67 showing strength
๐ข Sentiment (S): 9/10
- ๐๏ธ News sentiment is positive.
โ
HC Wainwright Reiterates 'Buy' Rating for Exelixis (NASDAQ:EXEL) โ MarketBeat.
๐ค HC Wainwright reiterated a Buy rating with a $56 price target, implying upside from current levels, which is positive despite the trial update; the analyst view supports the stock despite mixed broader consensus.
โ
Pictet Asset Management Holding SA Boosts Stock Holdings in Exelixis, Inc. $EXEL โ MarketBeat.
๐ค Pictet Asset Management increased its stake in Exelixis, signaling institutional confidence in the company's strong quarterly results (EPS $0.87 beating estimates) and pipeline potential, which is positive for the stock price.
โช๏ธ Exelixis Provides Update on the Phase 3 STELLAR-303 Trial ... โ Yahoo Finance.
๐ค Exelixis announced final analysis results from the STELLAR-303 trial showing a non-statistically significant trend in overall survival favoring the combination therapy; while the median OS was higher (15.9 vs 12.7 months), the lack of statistical significance makes this neutral to slightly negative, though safety was consistent.
๐ญ Bonus (B): 10/10 โ Biological Products (Biotech sector)
๐ข What they do: Park Aerospace Corp develops and manufactures advanced composite materials, primary and secondary structures, and assemblies for the aerospace and defense industries. The company produces high-technology materials including epoxy prepregs, composite materials, and printed circuit board materials used in aircraft structures, interiors, and electronic interconnection systems.
- ๐ฏ Current $37.83 is 1% below 3yr high $38.23 ยท โณ SMA200 $25.72 (current price $37.83 is above) ยท ๐ฐ Market Cap $790M
- PKE presents a compelling setup with strong technicals and positive sentiment.
๐ Quality (Q): 54/60
- ๐ฆ Low drawdown (12.8% max); EMA21 above EMA50; EMA uptrend sustained 5+ days; EPS growth 217% (>20%); Revenue growth 43% (>15%); Low LT D/E 0.55 (<1.0).
โฐ Entry (E): 6/20
- ๐ Strong above EMA21 (9.1%)
- ๐ Strong above EMA50 (13.5%)
- ๐ SMA20/SMA50 bullish crossover
- ๐ RSI at 63 showing strength
๐ข Sentiment (S): 9/10
- ๐๏ธ News sentiment is positive.
โ
Park Aerospace Corp. Declares Quarterly Cash Dividend โ Yahoo Finance.
๐ค Park Aerospace declared a regular quarterly cash dividend of $0.125 per share payable August 3, 2026, signaling financial health and a commitment to shareholder value, which is positive for the stock price[7].
โ
Citizens initiates Park Electrochemical stock coverage on aerospace growth โ Investing.com.
๐ค Citizens initiated coverage with a Market Outperform rating and a $42.00 price target, citing strong Q4 revenue growth ($24.2M) that hit the upper end of guidance and significant sole-source positions in aerospace and defense, driving positive sentiment[4].
โช๏ธ The Zacks Analyst Blog Highlights Alphabet, Broadcom, Johnson ... โ Yahoo Finance.
๐ค Park Aerospace is included in a research roundup highlighting opportunities and risks across various sectors, but the article does not provide specific positive or negative analysis for $PKE, making the sentiment neutral[3].
๐ญ Bonus (B): 0/10 โ Aircraft Parts
๐ข What they do: NETSTREIT Corp. (NYSE: NTST) is an internally managed real estate investment trust (REIT) that acquires, owns, and manages single-tenant net lease retail properties across the United States.
- ๐ฏ At/above 3yr high $21.66 (current $21.66) ยท โณ SMA200 $19.16 (current price $21.66 is above) ยท ๐ฐ Market Cap $2.1B
- NTST shows decent technicals supported by positive sentiment.
๐ Quality (Q): 54/60
- ๐ฆ Low drawdown (12.0% max); EMA21 above EMA50; EMA uptrend sustained 5+ days; EPS growth 200% (>20%); Revenue growth 24% (>15%); Low LT D/E 0.82 (<1.0).
โฐ Entry (E): 2/20
- ๐ Strong above EMA21 (5.5%)
- ๐ EMA bullish crossover
- ๐ VWMA trending up (5 consecutive days)
- ๐ RSI at 66 showing strength
๐ข Sentiment (S): 8/10
- ๐๏ธ News sentiment is positive.
โ
NETSTREIT Corp. (NYSE:NTST) Given Average Rating of 'Moderate Buy' by Brokerages โ MarketBeat.
๐ค The stock received an average 'Moderate Buy' rating from 16 firms (13 buys, 3 holds) with an average price target of $22.45, and Wells Fargo raised its target to $23.00, signaling strong analyst confidence despite mixed Q1 fundamentals.
โ
NETSTREIT (NYSE:NTST) Hits New 1-Year High After Analyst Upgrade โ MarketBeat.
๐ค BTIG Research raised its price target from $22 to $24 and reiterated a buy rating, pushing the stock to a new 52-week high, which is a clear positive catalyst for the stock price.
โช๏ธ Deprince Race & Zollo Inc. Cuts Holdings in NETSTREIT Corp. $NTST โ MarketBeat.
๐ค An institutional investor reduced its stake by 21.5%, which is a minor negative signal, but the article notes the stock remains rated a Moderate Buy with a $22.45 target and highlights the sharp dividend increase to $0.88, balancing the sentiment.
โช๏ธ NETSTREIT Corp. Announces Dates for Second Quarter 2026 Earnings Release and Conference Call โ Business Wire.
๐ค This is a bare announcement of future earnings dates (July 22) and a conference call with no financial data, guidance, or analyst opinion, making it neutral and not substantive news for price movement.
๐ญ Bonus (B): 0/10 โ REITs
๐ข 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.
- ๐ฏ Current $36.30 is 4% below 3yr high $38.00 ยท โณ SMA200 $21.87 (current price $36.30 is above) ยท ๐ฐ Market Cap $2.6B
- ATEN shows decent technicals supported by positive sentiment.
๐ Quality (Q): 44/60
- ๐ฆ Low drawdown (9.5% max); EMA21 above EMA50; EMA uptrend sustained 5+ days; EPS growth 31% (>20%); ROE 20% (>15%); Low LT D/E 0.99 (<1.0).
โฐ Entry (E): 0/20
- ๐ Strong above EMA21 (7.6%)
- ๐ Strong above EMA50 (18.4%)
- ๐ VWMA trending up (5 consecutive days)
- ๐ RSI at 68 showing strength
๐ข Sentiment (S): 8/10
- ๐๏ธ News sentiment is positive (mixed coverage).
โ
Boston Trust Walden Corp Has $50.25 Million Stake in A10 Networks, Inc. $ATEN โ MarketBeat.
๐ค This is positive because the article confirms A10 Networks beat quarterly expectations with EPS of $0.24 versus $0.22 expected and revenue up 13.4%, despite Boston Trust Walden cutting its stake slightly; strong earnings and institutional ownership (98.61%) support the stock.
โ
A10 Networks Acquires TrojAI Inc., Expanding AI Roadmap โ Business Wire.
๐ค This is positive because the official announcement details A10 Networks' acquisition of TrojAI, an AI security company, which expands the company's AI roadmap and enhances its ability to secure, test, and govern AI applications, a key growth driver.
โ Top 3 Tech Stocks That Could Sink Your Portfolio This Month โ Benzinga.
๐ค This is negative because the article flags A10 Networks as a tech stock that could 'sink your portfolio' due to an extremely high RSI value of 83.6, indicating the stock is overbought and potentially at risk of a pullback despite recent analyst price-target increases.
๐ญ Bonus (B): 10/10 โ Computer Communications Equipment (Technology sector)
๐ข What they do: Central Garden & Pet Company is a U.S.-centric branded consumer-products company that manufactures and wholesales pet care and lawn & garden products, including dog chews, aquatics supplies, lawn seed, pest control, fertilizers, and live plants.
- ๐ฏ Current $38.43 is 14% below 3yr high $44.79 ยท โณ SMA200 $31.81 (current price $38.43 is above) ยท ๐ฐ Market Cap $471M
- CENTA shows decent technicals supported by positive sentiment.
๐ Quality (Q): 51/60
- ๐ฆ Low drawdown (11.6% max); EMA21 above EMA50; EMA uptrend sustained 5+ days; EPS growth 31% (>20%); Low LT D/E 0.72 (<1.0); PEG ratio 0.46 (<1.5).
โฐ Entry (E): 0/20
- ๐ VWMA trending up (5 consecutive days)
- ๐ RSI at 63 showing strength
๐ข Sentiment (S): 10/10
- ๐๏ธ News sentiment is positive.
โ
Central Garden & Pet Company (CENTA) Hits Fresh High: Is There Still Room to Run? โ Zacks.
๐ค The stock hit a new 52-week high of $39.99 and rose 10.4% over the past month, signaling strong momentum and investor confidence in $CENTA's growth trajectory.
โ
Central Garden & Pet Company (CENTA) Hits Fresh High โ Yahoo Finance.
๐ค The article highlights the stock's fresh high and notes that in its last earnings report on May 6, 2026, CENTA beat EPS and revenue consensus estimates, reinforcing positive fundamentals.
โ
Are Consumer Discretionary Stocks Lagging Central Garden & Pet (CENTA) This Year? โ Zacks.
๐ค CENTA has returned 32.8% so far this year, significantly outperforming its sector, which indicates strong relative performance and positive analyst sentiment for the stock.
๐ญ Bonus (B): 0/10 โ Misc Nondurable Goods - Wholesale
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