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A curated view of large, liquid U.S. stocks. Ideal as a starting point before refining by industry, momentum, or valuation.

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Low-priced stocks with unusually high trading activity. Designed to surface liquid penny stocks in real time.

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Growth Value Fundamental

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Short Interest Crowded

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Stocks trading near their 52-week lows with minimum liquidity filters.

Technical 52W Lows

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Stocks trading near their 52-week highs with minimum liquidity filters.

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Higher-volatility small cap stocks with sufficient liquidity.

Small Cap Volatility Aggressive

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Small cap stocks with strong 7-day performance and minimum liquidity.

Small Cap Momentum 7D

Undervalued Large Caps

Large cap stocks with conservative valuation metrics and strong liquidity.

Large Cap Value

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Stable, highly liquid large caps designed to anchor long-term portfolios.

Long-Term Quality Low Vol

Low Volatility Leaders

Large, liquid U.S. stocks with lower recent volatility. Designed for conservative watchlists and steadier positioning.

Low Vol Large Cap Stability

High Relative Volume Breakouts

Stocks showing unusually high relative volume versus their recent average. Useful for identifying names with fresh participation.

Volume Momentum Breakouts

Trend Continuation (Above Key MAs)

Stocks in established uptrends, trading above key moving averages. Built for trend-following and continuation watchlists.

Technical Trend Momentum

Mean Reversion (Quality Names)

Oversold signals inside longer-term uptrends. Designed to surface pullbacks in stronger, more established names.

Mean Reversion RSI Quality

High Dividend Yield (Sustainable)

Higher-yield stocks with basic sustainability constraints. Designed to avoid obvious yield traps using simple balance sheet checks.

Dividend Income Fundamental

High Dividend Yield (Sustainable)

200 stocks • Updated 17:16

Ticker Name Industry Price Market Cap Volume Change Change % Trend
KNTK Kinetik Holdings Inc. Electric, Gas, and Sanitary Services $48.900000 $3.27B 1.03M +0.86 +1.79% UP
KRC Kilroy Realty Corp. Holding and Other Investment Offices $34.730000 $4.06B 1.69M +0.47 +1.37% UP
KRG Kite Realty Group Trust Holding and Other Investment Offices $26.760000 $5.41B 2.86M +0.09 +0.34% UP
KVUE Kenvue Inc. Chemicals and Allied Products $17.470000 $33.77B 23.71M +0.30 +1.75% UP
LAMR Lamar Advertising Co Holding and Other Investment Offices $147.540000 $16.03B 1.03M -3.76 -2.47% DOWN
LAZ Lazard, Inc. Security and Commodity Brokers $46.090000 $4.73B 1.56M +0.11 +0.24% UP
LINE Lineage, Inc. Common Stock Holding and Other Investment Offices $38.890000 $9.10B 780.31K -0.43 -1.09% DOWN
LKQ LKQ Corporation - $26.850000 $7.36B 4.05M -1.16 -4.13% DOWN
LNC Lincoln National Corp. Insurance Carriers $35.090000 $6.85B 2.30M +0.32 +0.92% UP
LTC LTC Properties, Inc. Holding and Other Investment Offices $38.580000 $2.00B 567.82K +0.12 +0.31% UP
LXP LXP Industrial Trust Holding and Other Investment Offices $51.530000 $3.09B 372.69K -0.28 -0.54% DOWN
LYB LyondellBasell Industries N.V. Class A - $74.310000 $23.16B 3.63M +0.78 +1.06% UP
MAA Mid-America Apartment Communities, Inc. Holding and Other Investment Offices $129.220000 $15.05B 748.98K -0.50 -0.39% DOWN
MAIN Main Street Capital Corporation - $52.920000 $4.87B 684.31K +0.50 +0.96% UP
MC MOELIS & COMPANY Security and Commodity Brokers $63.970000 $4.84B 903.06K +0.12 +0.19% UP
MNR Mach Natural Resources LP Common Units representing Limited Partner Interests Oil and Gas Extraction $14.230000 $2.31B 1.14M +0.19 +1.35% UP
MO Altria Group, Inc. Tobacco Products $69.890000 $113.75B 8.35M +1.29 +1.88% UP
MOS The Mosaic Company - $22.390000 $7.05B 10.59M +0.58 +2.66% UP
MPLX MPLX LP - $54.390000 $54.80B 1.56M +0.57 +1.05% UP
MPW Medical Properties Trust, Inc. Holding and Other Investment Offices - $3.04B 0 +0.00 +0.00% NEUTRAL
MRP Millrose Properties, Inc. - $26.600000 $4.47B 2.28M -0.69 -2.53% DOWN
MTDR MATADOR RESOURCES COMPANY Oil and Gas Extraction $56.650000 $6.86B 1.20M +0.32 +0.57% UP
MTN Vail Resorts, Inc. - $124.150000 $4.47B 591.47K +0.45 +0.36% UP
NE Noble Corporation plc Oil and Gas Extraction $51.250000 $8.00B 1.27M +0.24 +0.47% UP
NHI National Health Investors Holding and Other Investment Offices $74.430000 $3.65B 548.05K +1.00 +1.36% UP
NLY Annaly Capital Management. Inc. Holding and Other Investment Offices $22.300000 $16.57B 5.58M -0.13 -0.58% DOWN
NNN NNN REIT, Inc. Holding and Other Investment Offices $44.500000 $8.44B 1.64M +0.20 +0.45% UP
NOG Northern Oil and Gas, Inc. Oil and Gas Extraction $23.870000 $2.48B 4.03M +0.37 +1.57% UP
NSA National Storage Affiliates Trust Holding and Other Investment Offices $43.580000 $3.37B 1.21M -0.07 -0.16% DOWN
NWBI Northwest Bancshares, Inc Depository Institutions $13.710000 $2.03B 1.05M +0.01 +0.07% UP
O Realty Income Corporation Holding and Other Investment Offices $62.530000 $57.74B 5.54M +0.12 +0.19% UP
OBDC Blue Owl Capital Corporation - $11.170000 $5.63B 3.25M +0.12 +1.08% UP
OHI Omega Healthcare Investors Inc. Holding and Other Investment Offices $47.650000 $14.05B 1.88M +0.64 +1.36% UP
OKE Oneok, Inc. Electric, Gas, and Sanitary Services $88.430000 $53.65B 3.59M +0.64 +0.73% UP
OMF OneMain Holdings, Inc. Nondepository Institutions $53.030000 $6.48B 1.34M -0.14 -0.26% DOWN
ORI Old Republic International Corporation Insurance Carriers $39.180000 $9.56B 948.89K -0.04 -0.10% DOWN
OTEX Open Text Corp Business Services $23.890000 $6.19B 3.07M -0.51 -2.09% DOWN
OWL Blue Owl Capital Inc. Security and Commodity Brokers $10.000000 $7.14B 39.16M -0.08 -0.79% DOWN
PAA Plains All American Pipeline, L.P. Common Units representing Limited Partner Interests - $21.940000 $15.32B 1.92M +0.00 +0.00% NEUTRAL
PAGP Plains GP Holdings, L.P. Class A Units representing Limited Partner Interests - $23.460000 $4.59B 1.05M -0.05 -0.21% DOWN
PAYX Paychex Inc - $93.710000 $33.65B 3.56M -0.18 -0.19% DOWN
PCH PotlatchDeltic Corporation Common Stock Holding and Other Investment Offices - $3.23B 0 +0.00 +0.00% NEUTRAL
PFE Pfizer Inc. Chemicals and Allied Products $25.870000 $146.36B 26.77M +0.07 +0.27% UP
PFS Provident Financial Services, Inc. Depository Institutions $21.980000 $2.92B 988.13K -0.11 -0.50% DOWN
PK Park Hotels & Resorts Inc. Common Stock Hotels and Other Lodging Places $10.970000 $2.28B 4.04M -0.03 -0.28% DOWN
POR Portland General Electric Company Electric, Gas, and Sanitary Services $48.400000 $5.61B 1.36M +0.04 +0.08% UP
PPC Pilgrims Pride Corporation Food and Kindred Products $28.660000 $6.92B 1.43M +0.00 +0.00% NEUTRAL
PRU Prudential Financial, Inc. Insurance Carriers $102.580000 $35.01B 1.72M +1.46 +1.44% UP
PSA Public Storage Holding and Other Investment Offices $311.280000 $54.60B 1.66M -0.27 -0.09% DOWN
QSR Restaurant Brands International Inc. Eating and Drinking Places $78.300000 $27.66B 3.16M +0.07 +0.09% UP
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