Price Leaders Stock Screen. This page compares published weekly company figures for valuation, financial strength, price performance, income and risk, with links to the supporting company records and data.
Structured data for this page is available at https://sharemaestro.com/factors/api/strategies/momentum-leaders/
Factor approach · week ending 9 Aug 2026
Price Leaders
Twelve-to-one-month price performance of at least 15% with volatility no higher than 50%.
Qualifying companies 195 Top 50 shown
Companies scored 726 726 in market
Average combined score 55.5/100 Qualifying list
Market DE USD
Summary
Companies
Comparison
Historical record
How it works
Current qualifying list
Price Leaders companies Ranks run from 0 to 100. A higher rank is stronger on value, financial strength or price performance.
#1 AP2 Applied Materials, Inc. Technology
Mom12 235.1%
Six-month return 71.7%
Volatility 44.1%
Combined score 44.0/100
Value rank 1.0/100
Strength rank 86.0/100
F-Score 6/9
Weekly change +1.0 pts
#2 NOA3 Nokia Oyj Technology
Mom12 209.9%
Six-month return 38.6%
Volatility 46.0%
Combined score 21.0/100
Value rank 14.0/100
Strength rank 25.0/100
F-Score 5/9
Weekly change -1.0 pts
#3 ASME ASML Holding N.V. Technology
Mom12 155.9%
Six-month return 26.1%
Volatility 37.4%
Combined score 52.0/100
Value rank 1.0/100
Strength rank 96.0/100
F-Score 8/9
Weekly change +1.0 pts
#4 CAT1 Caterpillar Inc. Industrials
Mom12 134.7%
Six-month return 20.5%
Volatility 32.7%
Combined score 36.0/100
Value rank 3.0/100
Strength rank 78.0/100
F-Score 6/9
Weekly change -1.0 pts
#5 SGM STMicroelectronics N.V. Technology
Mom12 188.2%
Six-month return 94.1%
Volatility 48.7%
Combined score 13.0/100
Value rank 8.0/100
Strength rank 16.0/100
F-Score 6/9
Weekly change +1.0 pts
#6 KLA KLA Corporation Technology
Mom12 158.5%
Six-month return 42.0%
Volatility 47.9%
Combined score 48.0/100
Value rank 1.0/100
Strength rank 95.0/100
F-Score 9/9
Weekly change -2.0 pts
#7 FDX FedEx Corporation Industrials
Mom12 80.0%
Six-month return 11.6%
Volatility 24.5%
Combined score 82.0/100
Value rank 73.0/100
Strength rank 28.0/100
F-Score 5/9
Weekly change +0.0 pts
#8 V1L Valero Energy Corporation Energy
Mom12 127.7%
Six-month return 58.0%
Volatility 42.5%
Combined score 80.0/100
Value rank 64.0/100
Strength rank 32.0/100
F-Score 6/9
Weekly change +1.0 pts
#9 ERCB Telefonaktiebolaget LM Ericsson (publ) Technology
Mom12 128.8%
Six-month return 11.6%
Volatility 44.0%
Combined score 99.0/100
Value rank 99.0/100
Strength rank 73.0/100
F-Score 7/9
Weekly change +0.0 pts
#10 HOT HOCHTIEF Aktiengesellschaft Industrials
Mom12 121.0%
Six-month return 25.6%
Volatility 42.1%
Combined score 30.0/100
Value rank 17.0/100
Strength rank 38.0/100
F-Score 6/9
Weekly change +0.0 pts
#11 ARRD ArcelorMittal S.A. Basic Materials
Mom12 103.4%
Six-month return 24.2%
Volatility 36.3%
Combined score 63.0/100
Value rank 57.0/100
Strength rank 6.0/100
F-Score 6/9
Weekly change -3.0 pts
#12 HBC1 HSBC Holdings plc Financial Services
Mom12 68.0%
Six-month return 23.4%
Volatility 24.2%
Combined score 81.0/100
Value rank 66.0/100
Strength rank 40.0/100
F-Score 5/9
Weekly change +0.0 pts
#13 VIA Viatris Inc. Healthcare
Mom12 83.8%
Six-month return 20.3%
Volatility 29.8%
Combined score 47.0/100
Value rank 41.0/100
Strength rank 18.0/100
F-Score 5/9
Weekly change +3.0 pts
#14 LLY Eli Lilly and Company Healthcare
Mom12 93.1%
Six-month return 14.9%
Volatility 33.4%
Combined score 45.0/100
Value rank 2.0/100
Strength rank 93.0/100
F-Score 7/9
Weekly change +3.0 pts
#15 DWD Morgan Stanley Financial Services
Mom12 61.2%
Six-month return 23.1%
Volatility 22.5%
Combined score 28.0/100
Value rank 30.0/100
Strength rank 17.0/100
F-Score 3/9
Weekly change +0.0 pts
#16 JEN Jenoptik AG Technology
Mom12 119.4%
Six-month return 50.6%
Volatility 43.9%
Combined score 38.0/100
Value rank 28.0/100
Strength rank 31.0/100
F-Score 5/9
Weekly change -4.0 pts
#17 RWL Rockwell Automation, Inc. Industrials
Mom12 112.2%
Six-month return 8.7%
Volatility 42.3%
Combined score 48.0/100
Value rank 5.0/100
Strength rank 90.0/100
F-Score 7/9
Weekly change +2.0 pts
#18 ERCG Telefonaktiebolaget LM Ericsson (publ) Technology
Mom12 123.2%
Six-month return 12.9%
Volatility 46.8%
Combined score 99.0/100
Value rank 99.0/100
Strength rank 74.0/100
F-Score 7/9
Weekly change +0.0 pts
#19 AVS ASM International NV Technology
Mom12 118.3%
Six-month return 25.2%
Volatility 45.2%
Combined score 44.0/100
Value rank 2.0/100
Strength rank 89.0/100
F-Score 8/9
Weekly change +1.0 pts
#20 TNIE tonies SE Consumer Cyclical
Mom12 111.8%
Six-month return 7.9%
Volatility 43.7%
Combined score 12.0/100
Value rank 4.0/100
Strength rank 23.0/100
F-Score 5/9
Weekly change +3.0 pts
#21 RAW Raiffeisen Bank International AG Financial Services
Mom12 88.9%
Six-month return 54.8%
Volatility 34.9%
Combined score 95.0/100
Value rank 79.0/100
Strength rank 63.0/100
F-Score 6/9
Weekly change -1.0 pts
#22 RIO1 Rio Tinto Group Basic Materials
Mom12 56.5%
Six-month return 14.1%
Volatility 22.2%
Combined score 87.0/100
Value rank 66.0/100
Strength rank 57.0/100
F-Score 2/9
Weekly change +0.0 pts
#23 BWB Baader Bank Aktiengesellschaft Financial Services
Mom12 42.3%
Six-month return -0.9%
Volatility 16.7%
Combined score 70.0/100
Value rank 63.0/100
Strength rank 19.0/100
F-Score 4/9
Weekly change +3.0 pts
#24 ABEC Alphabet Inc. Communication Services
Mom12 77.6%
Six-month return 13.0%
Volatility 31.0%
Combined score 50.0/100
Value rank 8.0/100
Strength rank 87.0/100
F-Score 6/9
Weekly change +1.0 pts
#25 ABEA Alphabet Inc. Communication Services
Mom12 79.3%
Six-month return 13.5%
Volatility 31.8%
Combined score 50.0/100
Value rank 7.0/100
Strength rank 88.0/100
F-Score 6/9
Weekly change +0.0 pts
#26 ENA Endesa, S.A. Utilities
Mom12 51.6%
Six-month return 32.4%
Volatility 20.9%
Combined score 71.0/100
Value rank 32.0/100
Strength rank 78.0/100
F-Score 7/9
Weekly change +0.0 pts
#27 JNJ Johnson & Johnson Healthcare
Mom12 56.7%
Six-month return 11.3%
Volatility 23.7%
Combined score 46.0/100
Value rank 12.0/100
Strength rank 80.0/100
F-Score 3/9
Weekly change +2.0 pts
#28 ABJ ABB LTD. N Industrials
Mom12 62.0%
Six-month return 21.5%
Volatility 26.0%
Combined score 39.0/100
Value rank 5.0/100
Strength rank 84.0/100
F-Score 7/9
Weekly change +1.0 pts
Mom12 79.8%
Six-month return 50.4%
Volatility 33.4%
Combined score 86.0/100
Value rank 80.0/100
Strength rank 24.0/100
F-Score 7/9
Weekly change +3.0 pts
#30 IFX Infineon Technologies AG Technology
Mom12 106.0%
Six-month return 48.8%
Volatility 45.8%
Combined score 12.0/100
Value rank 5.0/100
Strength rank 23.0/100
F-Score 3/9
Weekly change +1.0 pts
#31 HMSB H & M Hennes & Mauritz AB (publ) Consumer Cyclical
Mom12 101.6%
Six-month return 21.4%
Volatility 45.7%
Combined score 99.0/100
Value rank 99.0/100
Strength rank 94.0/100
F-Score 7/9
Weekly change +0.0 pts
#32 GOS The Goldman Sachs Group, Inc. Financial Services
Mom12 52.5%
Six-month return 16.9%
Volatility 23.8%
Combined score 27.0/100
Value rank 32.0/100
Strength rank 14.0/100
F-Score 4/9
Weekly change +0.0 pts
#33 CVS CVS Health Corporation Healthcare
Mom12 69.3%
Six-month return 26.1%
Volatility 31.5%
Combined score 76.0/100
Value rank 64.0/100
Strength rank 26.0/100
F-Score 6/9
Weekly change +20.0 pts
#34 BAYN Bayer Aktiengesellschaft Healthcare
Mom12 95.5%
Six-month return 9.1%
Volatility 43.5%
Combined score 89.0/100
Value rank 63.0/100
Strength rank 68.0/100
F-Score 6/9
Weekly change +0.0 pts
#35 CIS Cisco Systems, Inc. Technology
Mom12 75.5%
Six-month return 48.4%
Volatility 34.4%
Combined score 49.0/100
Value rank 5.0/100
Strength rank 93.0/100
F-Score 8/9
Weekly change +1.0 pts
#36 ELG Elmos Semiconductor SE Technology
Mom12 94.8%
Six-month return 25.4%
Volatility 43.2%
Combined score 51.0/100
Value rank 20.0/100
Strength rank 65.0/100
F-Score 5/9
Weekly change +5.0 pts
#37 D6H DATAGROUP SE Technology
Mom12 26.6%
Six-month return 8.3%
Volatility 12.3%
Combined score 47.0/100
Value rank 27.0/100
Strength rank 64.0/100
F-Score 7/9
Weekly change +1.0 pts
Mom12 51.1%
Six-month return 9.2%
Volatility 23.7%
Combined score 64.0/100
Value rank 61.0/100
Strength rank 8.0/100
F-Score 3/9
Weekly change +2.0 pts
#39 TRVC Citigroup Inc. Financial Services
Mom12 57.5%
Six-month return 13.3%
Volatility 26.7%
Combined score 66.0/100
Value rank 62.0/100
Strength rank 10.0/100
F-Score 3/9
Weekly change -1.0 pts
#40 UNH UnitedHealth Group Incorporated Healthcare
Mom12 82.1%
Six-month return 54.6%
Volatility 38.2%
Combined score 29.0/100
Value rank 28.0/100
Strength rank 19.0/100
F-Score 6/9
Weekly change +3.0 pts
#41 IBE1 Iberdrola, S.A. Utilities
Mom12 36.4%
Six-month return 6.8%
Volatility 17.1%
Combined score 45.0/100
Value rank 27.0/100
Strength rank 58.0/100
F-Score 7/9
Weekly change +2.0 pts
#42 RWE RWE Aktiengesellschaft Utilities
Mom12 59.2%
Six-month return 8.6%
Volatility 28.0%
Combined score 22.0/100
Value rank 28.0/100
Strength rank 8.0/100
F-Score 6/9
Weekly change +0.0 pts
#43 XS4 ON Semiconductor Corporation Technology
Mom12 103.8%
Six-month return 28.1%
Volatility 49.2%
Combined score 24.0/100
Value rank 12.0/100
Strength rank 40.0/100
F-Score 4/9
Weekly change +3.0 pts
#44 NGL0 Anglo American plc Basic Materials
Mom12 69.7%
Six-month return 19.8%
Volatility 33.1%
Combined score 47.0/100
Value rank 30.0/100
Strength rank 41.0/100
F-Score 4/9
Weekly change -9.0 pts
#45 UN9 UNIQA Insurance Group AG Financial Services
Mom12 47.3%
Six-month return 17.4%
Volatility 22.5%
Combined score 95.0/100
Value rank 82.0/100
Strength rank 68.0/100
F-Score 7/9
Weekly change +0.0 pts
#46 KCO Klöckner & Co SE Basic Materials
Mom12 102.3%
Six-month return 13.8%
Volatility 49.2%
Combined score 63.0/100
Value rank 58.0/100
Strength rank 4.0/100
F-Score 7/9
Weekly change +1.0 pts
#47 BSD2 Banco Santander, S.A. Financial Services
Mom12 56.7%
Six-month return 22.3%
Volatility 27.3%
Combined score 42.0/100
Value rank 40.0/100
Strength rank 18.0/100
F-Score 4/9
Weekly change -3.0 pts
#48 NDA Aurubis AG Industrials
Mom12 79.8%
Six-month return 6.6%
Volatility 38.5%
Combined score 91.0/100
Value rank 85.0/100
Strength rank 30.0/100
F-Score 7/9
Weekly change +1.0 pts
#49 D6H0 DATAGROUP SE Technology
Mom12 24.5%
Six-month return 9.7%
Volatility 12.2%
Combined score 45.0/100
Value rank 27.0/100
Strength rank 63.0/100
F-Score 7/9
Weekly change +3.0 pts
#50 VAS Voestalpine AG Basic Materials
Mom12 61.4%
Six-month return 8.2%
Volatility 31.9%
Combined score 88.0/100
Value rank 84.0/100
Strength rank 26.0/100
F-Score 7/9
Weekly change +0.0 pts
Full comparison table
Rank Company Sector Combined Value Financial strength Price performance P/E ROE Volatility
1 AP2 Applied Materials, Inc. Technology 44.0/100 1.0/100 86.0/100 98.0/100 43.5× 35.6% 44.1% 2 NOA3 Nokia Oyj Technology 21.0/100 14.0/100 25.0/100 96.0/100 57.2× 3.8% 46.0% 3 ASME ASML Holding N.V. Technology 52.0/100 1.0/100 96.0/100 97.0/100 57.5× 48.1% 37.4% 4 CAT1 Caterpillar Inc. Industrials 36.0/100 3.0/100 78.0/100 94.0/100 35.6× 50.5% 32.7% 5 SGM STMicroelectronics N.V. Technology 13.0/100 8.0/100 16.0/100 96.0/100 183.9× 1.3% 48.7% 6 KLA KLA Corporation Technology 48.0/100 1.0/100 95.0/100 95.0/100 48.0× 80.1% 47.9% 7 FDX FedEx Corporation Industrials 82.0/100 73.0/100 28.0/100 90.0/100 14.6× 14.0% 24.5% 8 V1L Valero Energy Corporation Energy 80.0/100 64.0/100 32.0/100 95.0/100 17.8× 17.6% 42.5% 9 ERCB Telefonaktiebolaget LM Ericsson (publ) Technology 99.0/100 99.0/100 73.0/100 93.0/100 1.1× 24.6% 44.0% 10 HOT HOCHTIEF Aktiengesellschaft Industrials 30.0/100 17.0/100 38.0/100 95.0/100 42.3× 52.2% 42.1% 11 ARRD ArcelorMittal S.A. Basic Materials 63.0/100 57.0/100 6.0/100 94.0/100 16.3× 5.3% 36.3% 12 HBC1 HSBC Holdings plc Financial Services 81.0/100 66.0/100 40.0/100 89.0/100 13.8× 11.3% 24.2% 13 VIA Viatris Inc. Healthcare 47.0/100 41.0/100 18.0/100 91.0/100 — -2.0% 29.8% 14 LLY Eli Lilly and Company Healthcare 45.0/100 2.0/100 93.0/100 91.0/100 35.9× 81.0% 33.4% 15 DWD Morgan Stanley Financial Services 28.0/100 30.0/100 17.0/100 85.0/100 16.1× 15.8% 22.5% 16 JEN Jenoptik AG Technology 38.0/100 28.0/100 31.0/100 94.0/100 28.2× 7.8% 43.9% 17 RWL Rockwell Automation, Inc. Industrials 48.0/100 5.0/100 90.0/100 92.0/100 39.1× 30.9% 42.3% 18 ERCG Telefonaktiebolaget LM Ericsson (publ) Technology 99.0/100 99.0/100 74.0/100 93.0/100 1.2× 24.6% 46.8% 19 AVS ASM International NV Technology 44.0/100 2.0/100 89.0/100 94.0/100 72.4× 13.5% 45.2% 20 TNIE tonies SE Consumer Cyclical 12.0/100 4.0/100 23.0/100 93.0/100 111.9× 3.7% 43.7% 21 RAW Raiffeisen Bank International AG Financial Services 95.0/100 79.0/100 63.0/100 93.0/100 15.0× 6.3% 34.9% 22 RIO1 Rio Tinto Group Basic Materials 87.0/100 66.0/100 57.0/100 88.0/100 14.3× 16.0% 22.2% 23 BWB Baader Bank Aktiengesellschaft Financial Services 70.0/100 63.0/100 19.0/100 80.0/100 6.5× 21.7% 16.7% 24 ABEC Alphabet Inc. Communication Services 50.0/100 8.0/100 87.0/100 90.0/100 23.5× 33.5% 31.0% 25 ABEA Alphabet Inc. Communication Services 50.0/100 7.0/100 88.0/100 91.0/100 23.6× 33.5% 31.8% 26 ENA Endesa, S.A. Utilities 71.0/100 32.0/100 78.0/100 87.0/100 19.7× 25.6% 20.9% 27 JNJ Johnson & Johnson Healthcare 46.0/100 12.0/100 80.0/100 85.0/100 25.4× 25.9% 23.7% 28 ABJ ABB LTD. N Industrials 39.0/100 5.0/100 84.0/100 87.0/100 32.7× 32.8% 26.0% 29 REP Repsol, S.A. Energy 86.0/100 80.0/100 24.0/100 91.0/100 14.5× 7.3% 33.4% 30 IFX Infineon Technologies AG Technology 12.0/100 5.0/100 23.0/100 91.0/100 73.7× 6.3% 45.8% 31 HMSB H & M Hennes & Mauritz AB (publ) Consumer Cyclical 99.0/100 99.0/100 94.0/100 94.0/100 2.1× 36.2% 45.7% 32 GOS The Goldman Sachs Group, Inc. Financial Services 27.0/100 32.0/100 14.0/100 84.0/100 14.5× 14.7% 23.8% 33 CVS CVS Health Corporation Healthcare 76.0/100 64.0/100 26.0/100 86.0/100 36.0× 3.8% 31.5% 34 BAYN Bayer Aktiengesellschaft Healthcare 89.0/100 63.0/100 68.0/100 91.0/100 — -7.5% 43.5% 35 CIS Cisco Systems, Inc. Technology 49.0/100 5.0/100 93.0/100 89.0/100 34.5× 24.5% 34.4% 36 ELG Elmos Semiconductor SE Technology 51.0/100 20.0/100 65.0/100 89.0/100 24.3× 15.8% 43.2% 37 D6H DATAGROUP SE Technology 47.0/100 27.0/100 64.0/100 72.0/100 28.7× 12.0% 12.3% 38 GZF Engie SA Utilities 64.0/100 61.0/100 8.0/100 85.0/100 17.8× 11.6% 23.7% 39 TRVC Citigroup Inc. Financial Services 66.0/100 62.0/100 10.0/100 85.0/100 12.2× 7.6% 26.7% 40 UNH UnitedHealth Group Incorporated Healthcare 29.0/100 28.0/100 19.0/100 89.0/100 26.7× 12.3% 38.2% 41 IBE1 Iberdrola, S.A. Utilities 45.0/100 27.0/100 58.0/100 76.0/100 22.0× 10.6% 17.1% 42 RWE RWE Aktiengesellschaft Utilities 22.0/100 28.0/100 8.0/100 87.0/100 17.9× 6.7% 28.0% 43 XS4 ON Semiconductor Corporation Technology 24.0/100 12.0/100 40.0/100 89.0/100 47.8× 7.9% 49.2% 44 NGL0 Anglo American plc Basic Materials 47.0/100 30.0/100 41.0/100 90.0/100 — -20.8% 33.1% 45 UN9 UNIQA Insurance Group AG Financial Services 95.0/100 82.0/100 68.0/100 83.0/100 13.0× 13.9% 22.5% 46 KCO Klöckner & Co SE Basic Materials 63.0/100 58.0/100 4.0/100 93.0/100 — -2.7% 49.2% 47 BSD2 Banco Santander, S.A. Financial Services 42.0/100 40.0/100 18.0/100 87.0/100 11.3× 15.2% 27.3% 48 NDA Aurubis AG Industrials 91.0/100 85.0/100 30.0/100 91.0/100 8.2× 16.0% 38.5% 49 D6H0 DATAGROUP SE Technology 45.0/100 27.0/100 63.0/100 71.0/100 29.3× 12.0% 12.2% 50 VAS Voestalpine AG Basic Materials 88.0/100 84.0/100 26.0/100 88.0/100 18.7× 5.6% 31.9%
List against market
How the qualifiers differ The comparison uses the same completed week and selected market. It shows the result of the screen rather than a claim about future returns.
Median relative ranks
Qualifying list and full market
Stored weekly prices
Historical record Past results are hypothetical, before trading costs and based on the stated weekly selection rules. They do not show what an investor would necessarily have received.
Cumulative return -3.29% 2026-06-07 to 2026-08-09
Weekly periods 10 Periods with usable prices
Record type Rebalanced See method below
Status Available Completed stored prices
Calendar years
Return by year
Calendar months
Monthly return record
Selection rules
What the screen does Open a company page to see its exact inputs and every other approach it currently passes.
Twelve-to-one-month price performance of at least 15% with volatility no higher than 50%. Companies must pass the stated completed-return and one-year volatility limits, then are ordered by risk-adjusted price performance.
1 · Market
Start with the selected market The screen uses published weekly company records from the market shown at the top of the page.
2 · Rules
Apply the same tests to every company The named measures, thresholds and sorting order are fixed for the screen.
3 · Check
Open the supporting figures A passing result still needs company, sector, liquidity, accounting and risk research.
Limits of the comparison Scores are relative to the selected market and can change when the market or its data changes. Accounting dates differ. Historical figures may be revised. A screen can remain out of favour for long periods.
Historical results exclude spreads, commissions, market impact, taxes and capacity limits. They are research evidence, not a forecast, recommendation or personal portfolio.