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
351PRGSProgress Software Corp (DE)Technology$39.41−12.8%+42.4%−15.9%$1.62B
352PDMPiedmont Realty TrustReal Estate$9.10−6.3%+42.4%−8.6%$1.14B
353TECHBio-TechneHealthcare$72.51+0.1%+42.3%−0.1%$11.37B
354BIOBio-Rad LaboratoriesHealthcare$377.69−3.1%+42.3%−3.2%$10.10B
355APLEApple Hospitality REITReal Estate$16.35−0.5%+42.3%−4.2%$3.86B
356DKDelek US HoldingsEnergy$67.47−4.0%+42.3%−17.3%$4.13B
357TILEInterfaceConsumer Discretionary$35.17−7.2%+42.2%−10.6%$2.03B
358URIUnited RentalsIndustrials$1,043.92+0.6%+42.2%−10.4%$64.98B
359ELThe Estee Lauder CompaniesConsumer Staples$95.57−10.0%+42.2%−20.1%$34.58B
360MDBMongoDBTechnology$334.68−24.0%+42.1%−29.1%$26.96B
361GENIGenius Sports LimitedUnclassified$6.15−22.7%+42.0%−54.2%$1.65B
362KLICKulicke & Soffa IndustriesTechnology$91.68+8.3%+41.7%−31.5%$4.80B
363ODCOil-Dri Corporation of AmericaConsumer Discretionary$89.68−2.0%+41.7%−15.7%$1.30B
364NVTSNavitas SemiconductorTechnology$11.73−6.2%+41.7%−63.1%$3.08B
365METMetLifeFinancials$95.82−0.4%+41.5%−4.1%$60.89B
366SONOSonosConsumer Discretionary$17.97+19.0%+41.5%−6.2%$2.13B
367MOHMolina HealthcareFinancials$189.64−4.6%+41.5%−21.9%$9.90B
368MATXMatsonsIndustrials$223.45+0.6%+41.4%−6.3%$6.68B
369ONTOOnto InnovationTechnology$288.74−1.3%+41.4%−23.7%$14.17B
370DIODDiodesTechnology$96.37+6.1%+41.3%−21.5%$4.44B
371JHXJames Hardie IndustriesMaterials$25.39−14.7%+40.9%−18.3%$14.74B
372DUOLDuolingoTechnology$134.30−6.0%+40.8%−61.3%$6.28B
373MTArcelorMittalUnclassified$69.85−6.4%+40.8%−11.3%$52.56B
374PACSPACS GroupHealthcare$43.06−2.7%+40.8%−11.1%$6.82B
375EXELExelixisHealthcare$58.37+5.6%+40.5%−1.3%$14.46B
376SHCSotera HealthHealthcare$18.45−5.3%+40.5%−5.7%$5.27B
377PRSUPursuit Attractions and HospitalityCommunication Services$49.65+0.7%+40.5%−11.3%$1.35B
378BFHBread Financial HoldingsFinancials$101.25−6.3%+40.4%−10.7%$3.89B
379NHCNational HealthcareHealthcare$225.97+1.7%+40.3%−4.6%$3.54B
380ECPGEncore Capital GroupFinancials$96.49−5.4%+40.1%−7.0%$2.05B
381DXPEDXP EnterprisesConsumer Discretionary$191.43−0.7%+40.1%−4.7%$2.97B
382AIPArterisTechnology$23.12−2.1%+40.0%−52.4%$1.14B
383ASANAsanaTechnology$8.64−15.0%+40.0%−43.1%$1.98B
384VTRSViatrisHealthcare$18.27+8.2%+40.0%0.0%$20.98B
385DCODucommun IncorporatedConsumer Discretionary$169.04−8.1%+40.0%−18.3%$2.55B
386ASICAtegrity Specialty InsuranceFinancials$26.57+0.9%+39.7%−7.3%$1.27B
387IMVTImmunovantHealthcare$33.49−23.6%+39.7%−25.5%$6.92B
388INSPInspire Medical SystemsHealthcare$70.00+15.1%+39.6%−51.4%$2.02B
389PAGPenske Automotive GroupConsumer Discretionary$207.22−4.9%+39.6%−7.3%$13.61B
390SLGSL Green RealtyReal Estate$49.32−14.7%+39.6%−18.5%$3.49B
391CBLCBL & Associates PropertiesReal Estate$52.33−4.8%+39.6%−12.9%$1.62B
392CHEChemedHealthcare$514.30−1.1%+39.5%−7.0%$6.72B
393ROIVRoivant SciencesHealthcare$36.98−1.6%+39.4%−11.6%$26.71B
394DXCMDexComHealthcare$86.68−2.9%+39.2%−6.1%$32.71B
395CLBKColumbia FinancialFinancials$10.90−7.2%+39.2%−7.8%$1.13B
396VECOVeeco InstrumentsTechnology$49.07+4.5%+39.1%−40.9%$3.00B
397WCCWesco InternationalConsumer Discretionary$364.67+4.0%+39.1%−2.6%$17.77B
398CPAYCorpayIndustrials$396.23−1.8%+39.1%−6.8%$26.02B
399AXGNAxogenHealthcare$43.36−16.2%+38.6%−16.2%$2.54B
400NESRNational Energy Services ReunitedEnergy$29.81−14.9%+38.6%−17.9%$3.01B

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