Price & volume screen · refreshed after the Sep 28, 2026 close

Six-month momentum leaders

Large companies with the strongest six-month price performance. Ranks companies worth at least $1B by their six-month split-adjusted return.

CriteriaMarket cap ≥ $1BPrice ≥ $5Ranked by 6-month return2204 stocks
#CompanyPrice1M6MFrom highMkt cap
201MRXMarex Group LimitedUnclassified$71.29−0.1%+65.9%−8.9%$5.13B
202IQVIQVIA HoldingsTechnology$270.97+3.3%+65.4%−1.5%$44.60B
203ATLCAtlanticus HoldingsFinancials$87.10−6.4%+65.3%−22.1%$1.32B
204ARWArrow ElectronicsConsumer Discretionary$230.46+10.3%+65.1%−1.9%$11.73B
205DGIIDigi InternationalTechnology$78.22+1.0%+64.8%−8.2%$2.97B
206WDCWestern DigitalTechnology$453.23−1.9%+64.6%−39.3%$163.41B
207NEWPNew Pacific MetalsUnclassified$6.37−14.0%+64.6%−14.0%$1.18B
208CLMTCalumetEnergy$52.61+14.9%+64.1%−10.9%$4.62B
209NAVNNavanTechnology$19.98−34.7%+63.6%−34.7%$5.20B
210OMDAOmada HealthHealthcare$19.39−20.1%+63.6%−27.6%$1.19B
211SNXTD SYNNEXConsumer Discretionary$256.75−1.3%+63.4%−11.5%$20.30B
212SWKSSkyworks SolutionsTechnology$87.59+30.0%+63.3%−4.2%$13.18B
213FTKFlotek IndustriesMaterials$28.43+16.5%+63.2%−26.8%$1.03B
214CXWCoreCivicReal Estate$31.69−6.2%+63.0%−10.8%$3.13B
215LPGDORIAN LPGIndustrials$54.36+10.3%+63.0%−6.8%$2.33B
216BETABeta TechnologiesConsumer Discretionary$22.88+4.2%+62.3%−37.8%$5.35B
217VEEVVeeva SystemsTechnology$279.96−0.8%+62.2%−8.6%$45.33B
218STMSTMicroelectronicsUnclassified$52.74+2.7%+62.1%−34.0%$47.04B
219IONQIonQTechnology$44.58+5.0%+62.1%−45.7%$18.06B
220HPQHPTechnology$31.32+5.7%+61.1%−11.7%$28.24B
221DTDynatraceTechnology$57.84+8.3%+61.1%−1.4%$16.72B
222LGNDLigand PharmaceuticalsHealthcare$314.10+10.4%+60.7%−2.6%$6.26B
223NRIXNurix TherapeuticsHealthcare$23.67−11.9%+60.4%−14.8%$2.46B
224SCSCScansourceConsumer Discretionary$57.78−0.6%+60.3%−1.9%$1.16B
225NWLNewell BrandsMaterials$5.44−7.5%+60.0%−14.5%$2.32B
226ATKRAtkoreIndustrials$94.60+1.0%+60.0%0.0%$3.19B
227STVNStevanato Group S.p.A.Unclassified$21.41−4.0%+59.4%−22.5%$5.85B
228FRSHFreshworksTechnology$12.53−8.5%+59.2%−10.0%$3.27B
229AAgilent TechnologiesHealthcare$175.21+11.1%+58.9%0.0%$49.40B
230LBRXLB PharmaceuticalsHealthcare$37.89−20.9%+58.9%−23.4%$1.22B
231CERTCertaraTechnology$9.13+8.6%+58.8%−32.9%$1.39B
232ECOOkeanis Eco TankersUnclassified$79.17+19.3%+58.7%−8.3%$3.09B
233BHVNBiohavenHealthcare$13.27−17.7%+58.5%−26.7%$2.00B
234MANHManhattan AssociatesTechnology$201.88−9.8%+58.5%−9.8%$11.77B
235PRGOPERRIGOHealthcare$15.10+5.1%+58.4%−32.9%$2.10B
236VACMARRIOTT VACATIONS WORLDWIDEReal Estate$104.56−6.2%+58.2%−16.2%$3.60B
237AFRMAffirm HoldingsFinancials$67.21−13.3%+58.0%−21.6%$22.68B
238UFPTUFP TechnologiesHealthcare$299.22−0.2%+57.9%−10.6%$2.32B
239NEOGNeogenHealthcare$13.72+16.9%+57.7%−1.9%$2.99B
240SBETSharplinkFinancials$9.50+7.0%+57.3%−50.6%$2.06B
241CHYMChime FinancialFinancials$26.69−20.0%+57.1%−22.7%$10.10B
242GOGrocery Outlet HoldingConsumer Discretionary$11.10−5.1%+57.0%−32.6%$1.10B
243CNXNPC ConnectionConsumer Discretionary$89.70+11.3%+57.0%0.0%$2.26B
244TBBBBBB FoodsUnclassified$53.54+9.9%+56.1%0.0%$6.45B
245BOWBowhead Specialty HoldingsFinancials$33.80+0.6%+56.0%−0.2%$1.11B
246MPCMARATHON PETROLEUMEnergy$389.44+7.1%+54.6%−8.3%$109.36B
247FFIVF5Technology$435.56+6.2%+54.5%−4.5%$24.66B
248WSTWest Pharmaceutical ServicesHealthcare$375.65+8.5%+54.4%−0.1%$26.44B
249CLSKCLEANSPARKFinancials$13.34+3.0%+54.0%−42.5%$3.43B
250CROXCrocsMaterials$122.36+0.6%+53.8%−13.3%$5.87B

Method & sources

Computed after each close from Massive / Polygon prices (split-adjusted), SEC filings, FINRA short-interest settlements and FMP earnings dates. Rows are rebuilt every session; a stock appears only when every criterion is met with current data. Full methodology

Informational screen, not a recommendation.

Six-month momentum leaders (Sep 28) | Gainbot