{"country": {"code": "US", "name": "United States", "week_end_date": "2026-08-02", "updated_at": "2026-08-03T19:35:36.999221+00:00"}, "rows": [{"rank": 1, "symbol": "CDNA", "name": "CareDx Inc", "exchange": "NASDAQ", "country": "United States", "sector": "Healthcare", "industry": "Diagnostics & Research", "score": 81.07, "rating": "Strong", "confidence": 79.9, "latest_close": 43.71, "weekly_return": 0.176898, "four_week_return": 0.497431, "volume_ratio": 1.571051, "trend_signal": true, "expectation": "undecided", "pillars": {"Leadership": 99.5, "New demand": 100.0, "Sponsorship": 67.6, "Annual growth": 59.1, "Current growth": 87.8, "Market backdrop": 81.6, "Supply and demand": 68.8}, "summary": "CDNA ranks strongest on new demand; with a 100/100 read; latest weekly move 17.7%; four-week move 49.7%; volume 1.6x normal.", "evidence": {"factor": {"growth": "96/100", "quality": "26/100", "momentum": "98/100"}, "growth": {"eps_1y": "114.8%", "eps_3y": "-", "revenue_1y": "34.4%", "revenue_3y": "5.7%", "earnings_surprise": "107.1%"}, "options": {"direction": "volatility", "conviction": 53.48}, "summary": "CDNA ranks strongest on new demand; with a 100/100 read; latest weekly move 17.7%; four-week move 49.7%; volume 1.6x normal.", "insiders": {"buy_count": 18, "buy_value": 1966495.48, "sell_count": 30, "sell_value": 10119782.9308}, "sentiment": {"score": 58, "headline": "Key facts: CareDx (CDNA) raises 2026 revenue guide; grants 15,822 RSUs"}, "latest_week": "2026-07-31", "volume_ratio": "1.6x", "near_52w_high": "100.0%", "weekly_return": "17.7%", "four_week_return": "49.7%", "twelve_week_return": "100.3%"}, "links": {"chart": "/terminal/dc90ed6e-dd95-4d6f-a5f0-6befa588a237/", "report": "/terminal/dc90ed6e-dd95-4d6f-a5f0-6befa588a237/report/", "factors": "/factors/ticker/dc90ed6e-dd95-4d6f-a5f0-6befa588a237/", "sentiment": "/sentiment/dc90ed6e-dd95-4d6f-a5f0-6befa588a237/", "sector": "/structure/us/healthcare/", "industry": "/structure/us/healthcare/diagnostics-research/"}}, {"rank": 2, "symbol": "PAYS", "name": "Paysign Inc", "exchange": "NASDAQ", "country": "United States", "sector": "Technology", "industry": "Software - Infrastructure", "score": 79.99, "rating": "Strong", "confidence": 74.77, "latest_close": 8.96, "weekly_return": 0.03107, "four_week_return": 0.084746, "volume_ratio": 0.711688, "trend_signal": true, "expectation": "positive", "pillars": {"Leadership": 72.9, "New demand": 97.6, "Sponsorship": 64.6, "Annual growth": 90.7, "Current growth": 100.0, "Market backdrop": 87.6, "Supply and demand": 31.2}, "summary": "PAYS ranks strongest on current growth; with a 100/100 read; latest weekly move 3.1%; four-week move 8.5%; volume 0.7x normal.", "evidence": {"factor": {"growth": "95/100", "quality": "98/100", "momentum": "75/100"}, "growth": {"eps_1y": "70.8%", "eps_3y": "94.4%", "revenue_1y": "43.4%", "revenue_3y": "29.2%", "earnings_surprise": "-"}, "options": {"direction": "volatility", "conviction": 53.72}, "summary": "PAYS ranks strongest on current growth; with a 100/100 read; latest weekly move 3.1%; four-week move 8.5%; volume 0.7x normal.", "insiders": {"buy_count": 4, "buy_value": 0.0, "sell_count": 11, "sell_value": 2954877.4332}, "sentiment": {"score": 54, "headline": "Paysign (PAYS) director receives 20,000-share stock grant vesting 2027"}, "latest_week": "2026-07-31", "volume_ratio": "0.7x", "near_52w_high": "98.9%", "weekly_return": "3.1%", "four_week_return": "8.5%", "twelve_week_return": "44.1%"}, "links": {"chart": "/terminal/05069850-95b3-482c-a792-b906995a1563/", "report": "/terminal/05069850-95b3-482c-a792-b906995a1563/report/", "factors": "/factors/ticker/05069850-95b3-482c-a792-b906995a1563/", "sentiment": "/sentiment/05069850-95b3-482c-a792-b906995a1563/", "sector": "/structure/us/technology/", "industry": "/structure/us/technology/software-infrastructure/"}}, {"rank": 3, "symbol": "RDVT", "name": "Red Violet Inc", "exchange": "NASDAQ", "country": "United States", "sector": "Technology", "industry": "Software - Application", "score": 77.71, "rating": "Strong", "confidence": 84.11, "latest_close": 69.38, "weekly_return": 0.139993, "four_week_return": 0.058913, "volume_ratio": 1.374294, "trend_signal": true, "expectation": "positive", "pillars": {"Leadership": 82.9, "New demand": 95.1, "Sponsorship": 65.1, "Annual growth": 81.1, "Current growth": 76.2, "Market backdrop": 88.9, "Supply and demand": 54.1}, "summary": "RDVT ranks strongest on new demand; with a 95/100 read; latest weekly move 14.0%; four-week move 5.9%; volume 1.4x normal.", "evidence": {"factor": {"growth": "92/100", "quality": "100/100", "momentum": "92/100"}, "growth": {"eps_1y": "62.9%", "eps_3y": "177.4%", "revenue_1y": "18.1%", "revenue_3y": "19.2%", "earnings_surprise": "31.4%"}, "options": {"direction": "volatility", "conviction": 53.85}, "summary": "RDVT ranks strongest on new demand; with a 95/100 read; latest weekly move 14.0%; four-week move 5.9%; volume 1.4x normal.", "insiders": {"buy_count": 4, "buy_value": 0.0, "sell_count": 8, "sell_value": 2641830.0}, "sentiment": {"score": 56, "headline": "Red Violet, Inc. Revenue Breakdown \u2013 NASDAQ:RDVT"}, "latest_week": "2026-07-31", "volume_ratio": "1.4x", "near_52w_high": "100.0%", "weekly_return": "14.0%", "four_week_return": "5.9%", "twelve_week_return": "39.6%"}, "links": {"chart": "/terminal/bb47c8d3-7a58-4ce5-80c1-df057bca235b/", "report": "/terminal/bb47c8d3-7a58-4ce5-80c1-df057bca235b/report/", "factors": "/factors/ticker/bb47c8d3-7a58-4ce5-80c1-df057bca235b/", "sentiment": "/sentiment/bb47c8d3-7a58-4ce5-80c1-df057bca235b/", "sector": "/structure/us/technology/", "industry": "/structure/us/technology/software-application/"}}, {"rank": 4, "symbol": "CPRX", "name": "Catalyst Pharmaceuticals Inc", "exchange": "NASDAQ", "country": "United States", "sector": "Healthcare", "industry": "Biotechnology", "score": 77.56, "rating": "Strong", "confidence": 64.71, "latest_close": 31.49, "weekly_return": 0.000636, "four_week_return": 0.003505, "volume_ratio": 1.659447, "trend_signal": true, "expectation": "positive", "pillars": {"Leadership": 72.0, "New demand": 72.7, "Sponsorship": 58.9, "Annual growth": 87.5, "Current growth": 100.0, "Market backdrop": 86.4, "Supply and demand": 44.4}, "summary": "CPRX ranks strongest on current growth; with a 100/100 read; latest weekly move 0.1%; four-week move 0.4%; volume 1.7x normal.", "evidence": {"factor": {"growth": "79/100", "quality": "95/100", "momentum": "90/100"}, "growth": {"eps_1y": "-", "eps_3y": "37.1%", "revenue_1y": "-", "revenue_3y": "40.1%", "earnings_surprise": "27.5%"}, "options": {"direction": "", "conviction": null}, "summary": "CPRX ranks strongest on current growth; with a 100/100 read; latest weekly move 0.1%; four-week move 0.4%; volume 1.7x normal.", "insiders": {"buy_count": 1, "buy_value": 0.0, "sell_count": 128, "sell_value": 212759631.0}, "sentiment": {"score": 55, "headline": "Catalyst Pharmaceuticals Inc (CPRX) Earnings Forecast: Future EPS & Revenue Growth Estimates"}, "latest_week": "2026-07-17", "volume_ratio": "1.7x", "near_52w_high": "100.0%", "weekly_return": "0.1%", "four_week_return": "0.4%", "twelve_week_return": "15.1%"}, "links": {"chart": "/terminal/555105cb-5a62-4703-91b8-b419ded90f2c/", "report": "/terminal/555105cb-5a62-4703-91b8-b419ded90f2c/report/", "factors": "/factors/ticker/555105cb-5a62-4703-91b8-b419ded90f2c/", "sentiment": "/sentiment/555105cb-5a62-4703-91b8-b419ded90f2c/", "sector": "/structure/us/healthcare/", "industry": "/structure/us/healthcare/biotechnology/"}}, {"rank": 5, "symbol": "HG", "name": "Hamilton Insurance Group, Ltd.", "exchange": "NYSE", "country": "United States", "sector": "Financial Services", "industry": "Insurance - Reinsurance", "score": 77.02, "rating": "Strong", "confidence": 76.32, "latest_close": 35.96, "weekly_return": -0.005531, "four_week_return": 0.044135, "volume_ratio": 1.040496, "trend_signal": true, "expectation": "undecided", "pillars": {"Leadership": 78.8, "New demand": 73.3, "Sponsorship": 68.8, "Annual growth": 89.2, "Current growth": 86.9, "Market backdrop": 73.6, "Supply and demand": 54.1}, "summary": "HG ranks strongest on annual growth; with a 89/100 read; latest weekly move -0.6%; four-week move 4.4%; volume 1.0x normal.", "evidence": {"factor": {"growth": "96/100", "quality": "82/100", "momentum": "84/100"}, "growth": {"eps_1y": "94.2%", "eps_3y": "-", "revenue_1y": "42.7%", "revenue_3y": "28.7%", "earnings_surprise": "66.4%"}, "options": {"direction": "bullish", "conviction": 50.38}, "summary": "HG ranks strongest on annual growth; with a 89/100 read; latest weekly move -0.6%; four-week move 4.4%; volume 1.0x normal.", "insiders": {}, "sentiment": {"score": 53, "headline": "HG|Hamilton Insurance Group Ltd|Price:35.710|Chg%:-0.880"}, "latest_week": "2026-07-31", "volume_ratio": "1.0x", "near_52w_high": "99.4%", "weekly_return": "-0.6%", "four_week_return": "4.4%", "twelve_week_return": "16.5%"}, "links": {"chart": "/terminal/9a0d2a03-044f-4bf6-a58b-afbc7ca51f70/", "report": "/terminal/9a0d2a03-044f-4bf6-a58b-afbc7ca51f70/report/", "factors": "/factors/ticker/9a0d2a03-044f-4bf6-a58b-afbc7ca51f70/", "sentiment": "/sentiment/9a0d2a03-044f-4bf6-a58b-afbc7ca51f70/", "sector": "/structure/us/financial-services/", "industry": "/structure/us/financial-services/insurance-reinsurance/"}}, {"rank": 6, "symbol": "FTNT", "name": "Fortinet Inc", "exchange": "NASDAQ", "country": "United States", "sector": "Technology", "industry": "Software - Infrastructure", "score": 76.71, "rating": "Strong", "confidence": 86.9, "latest_close": 161.95, "weekly_return": 0.062873, "four_week_return": 0.03648, "volume_ratio": 1.381506, "trend_signal": true, "expectation": "undecided", "pillars": {"Leadership": 89.6, "New demand": 97.2, "Sponsorship": 72.3, "Annual growth": 89.6, "Current growth": 62.3, "Market backdrop": 77.8, "Supply and demand": 52.2}, "summary": "FTNT ranks strongest on new demand; with a 97/100 read; latest weekly move 6.3%; four-week move 3.6%; volume 1.4x normal.", "evidence": {"factor": {"growth": "92/100", "quality": "100/100", "momentum": "93/100"}, "growth": {"eps_1y": "9.3%", "eps_3y": "29.3%", "revenue_1y": "18.8%", "revenue_3y": "15.5%", "earnings_surprise": "20.7%"}, "options": {"direction": "bullish", "conviction": 49.41}, "summary": "FTNT ranks strongest on new demand; with a 97/100 read; latest weekly move 6.3%; four-week move 3.6%; volume 1.4x normal.", "insiders": {"buy_count": 30, "buy_value": 7915269.44, "sell_count": 67, "sell_value": 44883889.578}, "sentiment": {"score": 53, "headline": "Fortinet (FTNT) Is Up 6.3% After Raising 2026 Guidance And Unveiling New AI-Focused Firewall"}, "latest_week": "2026-07-31", "volume_ratio": "1.4x", "near_52w_high": "100.0%", "weekly_return": "6.3%", "four_week_return": "3.6%", "twelve_week_return": "42.0%"}, "links": {"chart": "/terminal/1313e285-4685-4408-818d-a10ed5408129/", "report": "/terminal/1313e285-4685-4408-818d-a10ed5408129/report/", "factors": "/factors/ticker/1313e285-4685-4408-818d-a10ed5408129/", "sentiment": "/sentiment/1313e285-4685-4408-818d-a10ed5408129/", "sector": "/structure/us/technology/", "industry": "/structure/us/technology/software-infrastructure/"}}, {"rank": 7, "symbol": "IESC", "name": "IES Holdings Inc", "exchange": "NASDAQ", "country": "United States", "sector": "Industrials", "industry": "Engineering & Construction", "score": 76.64, "rating": "Strong", "confidence": 89.77, "latest_close": 744.54, "weekly_return": 0.189228, "four_week_return": 0.13844, "volume_ratio": 1.080862, "trend_signal": true, "expectation": "positive", "pillars": {"Leadership": 90.8, "New demand": 68.7, "Sponsorship": 66.3, "Annual growth": 89.9, "Current growth": 81.8, "Market backdrop": 74.3, "Supply and demand": 49.7}, "summary": "IESC ranks strongest on leadership; with a 91/100 read; latest weekly move 18.9%; four-week move 13.8%; volume 1.1x normal.", "evidence": {"factor": {"growth": "99/100", "quality": "77/100", "momentum": "96/100"}, "growth": {"eps_1y": "109.2%", "eps_3y": "106.5%", "revenue_1y": "22.7%", "revenue_3y": "15.9%", "earnings_surprise": "37.8%"}, "options": {"direction": "volatility", "conviction": 52.1}, "summary": "IESC ranks strongest on leadership; with a 91/100 read; latest weekly move 18.9%; four-week move 13.8%; volume 1.1x normal.", "insiders": {"buy_count": 12, "buy_value": 0.0, "sell_count": 66, "sell_value": 146518023.49}, "sentiment": {"score": 53, "headline": "IES Shares to Split on Friday, August 14th (NASDAQ:IESC)"}, "latest_week": "2026-07-31", "volume_ratio": "1.1x", "near_52w_high": "99.3%", "weekly_return": "18.9%", "four_week_return": "13.8%", "twelve_week_return": "11.7%"}, "links": {"chart": "/terminal/d4126e95-1b1c-4567-bedb-2021cbc13dc3/", "report": "/terminal/d4126e95-1b1c-4567-bedb-2021cbc13dc3/report/", "factors": "/factors/ticker/d4126e95-1b1c-4567-bedb-2021cbc13dc3/", "sentiment": "/sentiment/d4126e95-1b1c-4567-bedb-2021cbc13dc3/", "sector": "/structure/us/industrials/", "industry": "/structure/us/industrials/engineering-construction/"}}, {"rank": 8, "symbol": "CHEF", "name": "The Chefs Warehouse Inc", "exchange": "NASDAQ", "country": "United States", "sector": "Consumer Defensive", "industry": "Food Distribution", "score": 75.97, "rating": "Strong", "confidence": 86.15, "latest_close": 115.35, "weekly_return": 0.216003, "four_week_return": 0.206338, "volume_ratio": 2.130632, "trend_signal": true, "expectation": "positive", "pillars": {"Leadership": 90.1, "New demand": 96.5, "Sponsorship": 71.5, "Annual growth": 70.5, "Current growth": 61.3, "Market backdrop": 91.1, "Supply and demand": 64.1}, "summary": "CHEF ranks strongest on new demand; with a 96/100 read; latest weekly move 21.6%; four-week move 20.6%; volume 2.1x normal.", "evidence": {"factor": {"growth": "79/100", "quality": "67/100", "momentum": "92/100"}, "growth": {"eps_1y": "32.2%", "eps_3y": "37.6%", "revenue_1y": "11.2%", "revenue_3y": "16.7%", "earnings_surprise": "27.6%"}, "options": {"direction": "mixed", "conviction": 44.77}, "summary": "CHEF ranks strongest on new demand; with a 96/100 read; latest weekly move 21.6%; four-week move 20.6%; volume 2.1x normal.", "insiders": {"buy_count": 6, "buy_value": 0.0, "sell_count": 4, "sell_value": 10106428.35}, "sentiment": {"score": 61, "headline": "Lazard Asset Management LLC Has $3.98 Million Stock Holdings in The Chefs' Warehouse, Inc. $CHEF"}, "latest_week": "2026-07-31", "volume_ratio": "2.1x", "near_52w_high": "100.0%", "weekly_return": "21.6%", "four_week_return": "20.6%", "twelve_week_return": "41.2%"}, "links": {"chart": "/terminal/008f4640-1637-4685-a186-31e54effff42/", "report": "/terminal/008f4640-1637-4685-a186-31e54effff42/report/", "factors": "/factors/ticker/008f4640-1637-4685-a186-31e54effff42/", "sentiment": "/sentiment/008f4640-1637-4685-a186-31e54effff42/", "sector": "/structure/us/consumer-defensive/", "industry": "/structure/us/consumer-defensive/food-distribution/"}}, {"rank": 9, "symbol": "MRX", "name": "Marex Group plc Ordinary Shares", "exchange": "NASDAQ", "country": "United States", "sector": "Financial Services", "industry": "Capital Markets", "score": 75.72, "rating": "Strong", "confidence": 83.38, "latest_close": 64.92, "weekly_return": -0.009762, "four_week_return": 0.038388, "volume_ratio": 0.788997, "trend_signal": true, "expectation": "positive", "pillars": {"Leadership": 88.5, "New demand": 71.0, "Sponsorship": 64.0, "Annual growth": 97.2, "Current growth": 78.0, "Market backdrop": 86.3, "Supply and demand": 33.0}, "summary": "MRX ranks strongest on annual growth; with a 97/100 read; latest weekly move -1.0%; four-week move 3.8%; volume 0.8x normal.", "evidence": {"factor": {"growth": "99/100", "quality": "84/100", "momentum": "94/100"}, "growth": {"eps_1y": "41.5%", "eps_3y": "49.8%", "revenue_1y": "31.2%", "revenue_3y": "45.6%", "earnings_surprise": "17.6%"}, "options": {"direction": "volatility", "conviction": 48.2}, "summary": "MRX ranks strongest on annual growth; with a 97/100 read; latest weekly move -1.0%; four-week move 3.8%; volume 0.8x normal.", "insiders": {}, "sentiment": {"score": 58, "headline": "Top Marex Group plc Ordinary Shares (MRX) Competitors 2026"}, "latest_week": "2026-07-31", "volume_ratio": "0.8x", "near_52w_high": "98.7%", "weekly_return": "-1.0%", "four_week_return": "3.8%", "twelve_week_return": "15.2%"}, "links": {"chart": "/terminal/8804c701-2820-4261-bdbd-c63a57290f17/", "report": "/terminal/8804c701-2820-4261-bdbd-c63a57290f17/report/", "factors": "/factors/ticker/8804c701-2820-4261-bdbd-c63a57290f17/", "sentiment": "/sentiment/8804c701-2820-4261-bdbd-c63a57290f17/", "sector": "/structure/us/financial-services/", "industry": "/structure/us/financial-services/capital-markets/"}}, {"rank": 10, "symbol": "DAVE", "name": "Dave Inc", "exchange": "NASDAQ", "country": "United States", "sector": "Technology", "industry": "Software - Application", "score": 74.77, "rating": "Strong", "confidence": 78.2, "latest_close": 372.69, "weekly_return": -0.074775, "four_week_return": -0.037872, "volume_ratio": 0.792426, "trend_signal": true, "expectation": "undecided", "pillars": {"Leadership": 86.0, "New demand": 78.0, "Sponsorship": 66.6, "Annual growth": 99.5, "Current growth": 68.9, "Market backdrop": 79.4, "Supply and demand": 37.9}, "summary": "DAVE ranks strongest on annual growth; with a 100/100 read; latest weekly move -7.5%; four-week move -3.8%; volume 0.8x normal.", "evidence": {"factor": {"growth": "98/100", "quality": "100/100", "momentum": "93/100"}, "growth": {"eps_1y": "3.3%", "eps_3y": "-", "revenue_1y": "58.5%", "revenue_3y": "39.3%", "earnings_surprise": "46.6%"}, "options": {"direction": "volatility", "conviction": 46.95}, "summary": "DAVE ranks strongest on annual growth; with a 100/100 read; latest weekly move -7.5%; four-week move -3.8%; volume 0.8x normal.", "insiders": {"buy_count": 6, "buy_value": 0.0, "sell_count": 8, "sell_value": 3604009.57}, "sentiment": {"score": 54, "headline": "Dave Inc. $DAVE is Prospect Capital Advisors LLC's 8th Largest Position"}, "latest_week": "2026-07-31", "volume_ratio": "0.8x", "near_52w_high": "84.6%", "weekly_return": "-7.5%", "four_week_return": "-3.8%", "twelve_week_return": "45.4%"}, "links": {"chart": "/terminal/9f0494d6-65eb-4218-9f65-d4a1b85207cc/", "report": "/terminal/9f0494d6-65eb-4218-9f65-d4a1b85207cc/report/", "factors": "/factors/ticker/9f0494d6-65eb-4218-9f65-d4a1b85207cc/", "sentiment": "/sentiment/9f0494d6-65eb-4218-9f65-d4a1b85207cc/", "sector": "/structure/us/technology/", "industry": "/structure/us/technology/software-application/"}}, {"rank": 11, "symbol": "APH", "name": "Amphenol Corporation", "exchange": "NYSE", "country": "United States", "sector": "Technology", "industry": "Electronic Components", "score": 74.49, "rating": "Strong", "confidence": 89.77, "latest_close": 160.7, "weekly_return": 0.052597, "four_week_return": -0.023634, "volume_ratio": 1.041261, "trend_signal": true, "expectation": "positive", "pillars": {"Leadership": 58.0, "New demand": 79.1, "Sponsorship": 67.6, "Annual growth": 93.6, "Current growth": 90.5, "Market backdrop": 80.2, "Supply and demand": 39.5}, "summary": "APH ranks strongest on annual growth; with a 94/100 read; latest weekly move 5.3%; four-week move -2.4%; volume 1.0x normal.", "evidence": {"factor": {"growth": "99/100", "quality": "89/100", "momentum": "80/100"}, "growth": {"eps_1y": "62.1%", "eps_3y": "30.9%", "revenue_1y": "54.2%", "revenue_3y": "22.3%", "earnings_surprise": "11.1%"}, "options": {"direction": "volatility", "conviction": 49.89}, "summary": "APH ranks strongest on annual growth; with a 94/100 read; latest weekly move 5.3%; four-week move -2.4%; volume 1.0x normal.", "insiders": {"buy_count": 22, "buy_value": 2925763.6875, "sell_count": 9, "sell_value": 18709065.942}, "sentiment": {"score": 58, "headline": "Analysts Have Conflicting Sentiments on These Technology Companies: Apple (AAPL) and Amphenol (APH)"}, "latest_week": "2026-07-31", "volume_ratio": "1.0x", "near_52w_high": "97.6%", "weekly_return": "5.3%", "four_week_return": "-2.4%", "twelve_week_return": "25.7%"}, "links": {"chart": "/terminal/d083b0cf-66c9-4b57-8c5d-d70296cea21c/", "report": "/terminal/d083b0cf-66c9-4b57-8c5d-d70296cea21c/report/", "factors": "/factors/ticker/d083b0cf-66c9-4b57-8c5d-d70296cea21c/", "sentiment": "/sentiment/d083b0cf-66c9-4b57-8c5d-d70296cea21c/", "sector": "/structure/us/technology/", "industry": "/structure/us/technology/electronic-components/"}}, {"rank": 12, "symbol": "THC", "name": "Tenet Healthcare Corporation", "exchange": "NYSE", "country": "United States", "sector": "Healthcare", "industry": "Medical Care Facilities", "score": 74.31, "rating": "Strong", "confidence": 86.9, "latest_close": 254.78, "weekly_return": 0.092539, "four_week_return": 0.250638, "volume_ratio": 1.065333, "trend_signal": false, "expectation": "positive", "pillars": {"Leadership": 69.7, "New demand": 89.8, "Sponsorship": 67.6, "Annual growth": 82.1, "Current growth": 70.1, "Market backdrop": 67.3, "Supply and demand": 71.6}, "summary": "THC ranks strongest on new demand; with a 90/100 read; latest weekly move 9.3%; four-week move 25.1%; volume 1.1x normal.", "evidence": {"factor": {"growth": "91/100", "quality": "92/100", "momentum": "75/100"}, "growth": {"eps_1y": "51.0%", "eps_3y": "50.7%", "revenue_1y": "5.4%", "revenue_3y": "3.6%", "earnings_surprise": "22.9%"}, "options": {"direction": "mixed", "conviction": 35.47}, "summary": "THC ranks strongest on new demand; with a 90/100 read; latest weekly move 9.3%; four-week move 25.1%; volume 1.1x normal.", "insiders": {"buy_count": 22, "buy_value": 0.0, "sell_count": 25, "sell_value": 2221169.68}, "sentiment": {"score": 58, "headline": "Tenet Healthcare Corporation (THC) is Attracting Investor Attention: Here is What You Should Know"}, "latest_week": "2026-07-31", "volume_ratio": "1.1x", "near_52w_high": "100.0%", "weekly_return": "9.3%", "four_week_return": "25.1%", "twelve_week_return": "33.8%"}, "links": {"chart": "/terminal/b546ed3d-f2c6-4bb8-8e4d-94066f779bac/", "report": "/terminal/b546ed3d-f2c6-4bb8-8e4d-94066f779bac/report/", "factors": "/factors/ticker/b546ed3d-f2c6-4bb8-8e4d-94066f779bac/", "sentiment": "/sentiment/b546ed3d-f2c6-4bb8-8e4d-94066f779bac/", "sector": "/structure/us/healthcare/", "industry": "/structure/us/healthcare/medical-care-facilities/"}}, {"rank": 13, "symbol": "SEZL", "name": "Sezzle Inc.", "exchange": "NASDAQ", "country": "United States", "sector": "Financial Services", "industry": "Credit Services", "score": 74.31, "rating": "Strong", "confidence": 74.06, "latest_close": 154.75, "weekly_return": 0.005588, "four_week_return": -0.155479, "volume_ratio": 0.699743, "trend_signal": true, "expectation": "positive", "pillars": {"Leadership": 70.6, "New demand": 77.8, "Sponsorship": 63.0, "Annual growth": 98.2, "Current growth": 79.0, "Market backdrop": 87.6, "Supply and demand": 34.4}, "summary": "SEZL ranks strongest on annual growth; with a 98/100 read; latest weekly move 0.6%; four-week move -15.5%; volume 0.7x normal.", "evidence": {"factor": {"growth": "93/100", "quality": "100/100", "momentum": "72/100"}, "growth": {"eps_1y": "39.0%", "eps_3y": "-", "revenue_1y": "46.1%", "revenue_3y": "53.1%", "earnings_surprise": "17.4%"}, "options": {"direction": "volatility", "conviction": 50.71}, "summary": "SEZL ranks strongest on annual growth; with a 98/100 read; latest weekly move 0.6%; four-week move -15.5%; volume 0.7x normal.", "insiders": {}, "sentiment": {"score": 54, "headline": "ETFs Investing in Sezzle Inc. Stocks"}, "latest_week": "2026-07-31", "volume_ratio": "0.7x", "near_52w_high": "84.5%", "weekly_return": "0.6%", "four_week_return": "-15.5%", "twelve_week_return": "60.6%"}, "links": {"chart": "/terminal/79b71e17-7e5c-4552-923a-3e83a8b2d67d/", "report": "/terminal/79b71e17-7e5c-4552-923a-3e83a8b2d67d/report/", "factors": "/factors/ticker/79b71e17-7e5c-4552-923a-3e83a8b2d67d/", "sentiment": "/sentiment/79b71e17-7e5c-4552-923a-3e83a8b2d67d/", "sector": "/structure/us/financial-services/", "industry": "/structure/us/financial-services/credit-services/"}}, {"rank": 14, "symbol": "VIK", "name": "Viking Holdings Ltd", "exchange": "NYSE", "country": "United States", "sector": "Consumer Cyclical", "industry": "Travel Services", "score": 74.09, "rating": "Strong", "confidence": 79.85, "latest_close": 104.35, "weekly_return": 0.036143, "four_week_return": 0.036349, "volume_ratio": 0.74393, "trend_signal": true, "expectation": "positive", "pillars": {"Leadership": 83.2, "New demand": 82.9, "Sponsorship": 57.3, "Annual growth": 98.6, "Current growth": 69.9, "Market backdrop": 85.7, "Supply and demand": 32.5}, "summary": "VIK ranks strongest on annual growth; with a 99/100 read; latest weekly move 3.6%; four-week move 3.6%; volume 0.7x normal.", "evidence": {"factor": {"growth": "94/100", "quality": "99/100", "momentum": "84/100"}, "growth": {"eps_1y": "126.6%", "eps_3y": "42.3%", "revenue_1y": "20.8%", "revenue_3y": "27.0%", "earnings_surprise": "9.6%"}, "options": {"direction": "bearish", "conviction": 55.72}, "summary": "VIK ranks strongest on annual growth; with a 99/100 read; latest weekly move 3.6%; four-week move 3.6%; volume 0.7x normal.", "insiders": {}, "sentiment": {"score": 58, "headline": "Viking Holdings Price Target Raised to $120.00/Share From $108.00 by Goldman Sachs"}, "latest_week": "2026-07-31", "volume_ratio": "0.7x", "near_52w_high": "100.0%", "weekly_return": "3.6%", "four_week_return": "3.6%", "twelve_week_return": "26.2%"}, "links": {"chart": "/terminal/199e369d-dbe8-4593-b88b-5cd4ecbe3ab9/", "report": "/terminal/199e369d-dbe8-4593-b88b-5cd4ecbe3ab9/report/", "factors": "/factors/ticker/199e369d-dbe8-4593-b88b-5cd4ecbe3ab9/", "sentiment": "/sentiment/199e369d-dbe8-4593-b88b-5cd4ecbe3ab9/", "sector": "/structure/us/consumer-cyclical/", "industry": "/structure/us/consumer-cyclical/travel-services/"}}, {"rank": 15, "symbol": "ADAM", "name": "New York Mortgage Trust, Inc.", "exchange": "NASDAQ", "country": "United States", "sector": "Real Estate", "industry": "Reit - Mortgage", "score": 74.0, "rating": "Strong", "confidence": 80.59, "latest_close": 9.07, "weekly_return": 0.048555, "four_week_return": -0.007659, "volume_ratio": 1.317669, "trend_signal": true, "expectation": "undecided", "pillars": {"Leadership": 89.5, "New demand": 81.9, "Sponsorship": 63.2, "Annual growth": 65.0, "Current growth": 78.9, "Market backdrop": 77.1, "Supply and demand": 57.2}, "summary": "ADAM ranks strongest on leadership; with a 90/100 read; latest weekly move 4.9%; four-week move -0.8%; volume 1.3x normal.", "evidence": {"factor": {"growth": "97/100", "quality": "25/100", "momentum": "95/100"}, "growth": {"eps_1y": "225.2%", "eps_3y": "-", "revenue_1y": "38.3%", "revenue_3y": "80.0%", "earnings_surprise": "20.1%"}, "options": {"direction": "volatility", "conviction": 50.18}, "summary": "ADAM ranks strongest on leadership; with a 90/100 read; latest weekly move 4.9%; four-week move -0.8%; volume 1.3x normal.", "insiders": {}, "sentiment": {"score": 55, "headline": "Adamas Trust, Inc. 2026 Q2 - Results - Earnings Call Presentation (NASDAQ:ADAM) 2026-08-01"}, "latest_week": "2026-07-31", "volume_ratio": "1.3x", "near_52w_high": "95.4%", "weekly_return": "4.9%", "four_week_return": "-0.8%", "twelve_week_return": "32.4%"}, "links": {"chart": "/terminal/1b81dfde-0a37-4d13-89a1-561c49794744/", "report": "/terminal/1b81dfde-0a37-4d13-89a1-561c49794744/report/", "factors": "/factors/ticker/1b81dfde-0a37-4d13-89a1-561c49794744/", "sentiment": "/sentiment/1b81dfde-0a37-4d13-89a1-561c49794744/", "sector": "/structure/us/real-estate/", "industry": "/structure/us/real-estate/reit-mortgage/"}}, {"rank": 16, "symbol": "FIX", "name": "Comfort Systems USA Inc", "exchange": "NYSE", "country": "United States", "sector": "Industrials", "industry": "Engineering & Construction", "score": 73.8, "rating": "Strong", "confidence": 92.55, "latest_close": 1729.69, "weekly_return": -0.002255, "four_week_return": -0.006667, "volume_ratio": 1.379028, "trend_signal": true, "expectation": "positive", "pillars": {"Leadership": 86.4, "New demand": 31.1, "Sponsorship": 69.3, "Annual growth": 99.7, "Current growth": 92.0, "Market backdrop": 72.5, "Supply and demand": 37.6}, "summary": "FIX ranks strongest on annual growth; with a 100/100 read; latest weekly move -0.2%; four-week move -0.7%; volume 1.4x normal.", "evidence": {"factor": {"growth": "100/100", "quality": "98/100", "momentum": "90/100"}, "growth": {"eps_1y": "107.2%", "eps_3y": "60.8%", "revenue_1y": "46.1%", "revenue_3y": "30.0%", "earnings_surprise": "36.4%"}, "options": {"direction": "volatility", "conviction": 47.0}, "summary": "FIX ranks strongest on annual growth; with a 100/100 read; latest weekly move -0.2%; four-week move -0.7%; volume 1.4x normal.", "insiders": {"buy_count": 20, "buy_value": 0.0, "sell_count": 35, "sell_value": 70656494.259}, "sentiment": {"score": 65, "headline": "Comfort Systems USA (FIX) Stock Could Be 34% Undervalued On Cash Flow"}, "latest_week": "2026-07-31", "volume_ratio": "1.4x", "near_52w_high": "86.8%", "weekly_return": "-0.2%", "four_week_return": "-0.7%", "twelve_week_return": "-11.4%"}, "links": {"chart": "/terminal/df1ec155-2946-4e5f-aaa1-6e79179f251b/", "report": "/terminal/df1ec155-2946-4e5f-aaa1-6e79179f251b/report/", "factors": "/factors/ticker/df1ec155-2946-4e5f-aaa1-6e79179f251b/", "sentiment": "/sentiment/df1ec155-2946-4e5f-aaa1-6e79179f251b/", "sector": "/structure/us/industrials/", "industry": "/structure/us/industrials/engineering-construction/"}}, {"rank": 17, "symbol": "SN", "name": "SharkNinja, Inc.", "exchange": "NYSE", "country": "United States", "sector": "Consumer Cyclical", "industry": "Furnishings, Fixtures & Appliances", "score": 73.3, "rating": "Strong", "confidence": 83.38, "latest_close": 161.77, "weekly_return": 0.088627, "four_week_return": 0.068, "volume_ratio": 0.635171, "trend_signal": true, "expectation": "positive", "pillars": {"Leadership": 68.0, "New demand": 99.9, "Sponsorship": 64.2, "Annual growth": 82.4, "Current growth": 75.9, "Market backdrop": 86.6, "Supply and demand": 36.5}, "summary": "SN ranks strongest on new demand; with a 100/100 read; latest weekly move 8.9%; four-week move 6.8%; volume 0.6x normal.", "evidence": {"factor": {"growth": "94/100", "quality": "77/100", "momentum": "73/100"}, "growth": {"eps_1y": "57.7%", "eps_3y": "44.5%", "revenue_1y": "15.9%", "revenue_3y": "19.8%", "earnings_surprise": "13.9%"}, "options": {"direction": "volatility", "conviction": 48.76}, "summary": "SN ranks strongest on new demand; with a 100/100 read; latest weekly move 8.9%; four-week move 6.8%; volume 0.6x normal.", "insiders": {}, "sentiment": {"score": 59, "headline": "The Manufacturers Life Insurance Company Boosts Holdings in SharkNinja, Inc. $SN"}, "latest_week": "2026-07-31", "volume_ratio": "0.6x", "near_52w_high": "100.0%", "weekly_return": "8.9%", "four_week_return": "6.8%", "twelve_week_return": "44.9%"}, "links": {"chart": "/terminal/ffdaac8f-2fd3-4192-a0b8-e3ea42196857/", "report": "/terminal/ffdaac8f-2fd3-4192-a0b8-e3ea42196857/report/", "factors": "/factors/ticker/ffdaac8f-2fd3-4192-a0b8-e3ea42196857/", "sentiment": "/sentiment/ffdaac8f-2fd3-4192-a0b8-e3ea42196857/", "sector": "/structure/us/consumer-cyclical/", "industry": "/structure/us/consumer-cyclical/furnishings-fixtures-appliances/"}}, {"rank": 18, "symbol": "STX", "name": "Seagate Technology PLC", "exchange": "NASDAQ", "country": "United States", "sector": "Technology", "industry": "Computer Hardware", "score": 73.21, "rating": "Strong", "confidence": 88.82, "latest_close": 856.13, "weekly_return": 0.005213, "four_week_return": 0.043857, "volume_ratio": 1.637048, "trend_signal": true, "expectation": "positive", "pillars": {"Leadership": 80.9, "New demand": 39.2, "Sponsorship": 66.8, "Annual growth": 86.9, "Current growth": 95.3, "Market backdrop": 78.2, "Supply and demand": 41.4}, "summary": "STX ranks strongest on current growth; with a 95/100 read; latest weekly move 0.5%; four-week move 4.4%; volume 1.6x normal.", "evidence": {"factor": {"growth": "99/100", "quality": "98/100", "momentum": "100/100"}, "growth": {"eps_1y": "116.7%", "eps_3y": "-", "revenue_1y": "34.1%", "revenue_3y": "18.2%", "earnings_surprise": "11.8%"}, "options": {"direction": "mixed", "conviction": 40.15}, "summary": "STX ranks strongest on current growth; with a 95/100 read; latest weekly move 0.5%; four-week move 4.4%; volume 1.6x normal.", "insiders": {"buy_count": 23, "buy_value": 2553277.27, "sell_count": 245, "sell_value": 145410786.7713}, "sentiment": {"score": 55, "headline": "Seagate: Duopoly Pricing Power Meets AI Storage Demand"}, "latest_week": "2026-07-31", "volume_ratio": "1.6x", "near_52w_high": "80.1%", "weekly_return": "0.5%", "four_week_return": "4.4%", "twelve_week_return": "9.5%"}, "links": {"chart": "/terminal/332391c5-8cb2-467c-836b-8577e8eb48f0/", "report": "/terminal/332391c5-8cb2-467c-836b-8577e8eb48f0/report/", "factors": "/factors/ticker/332391c5-8cb2-467c-836b-8577e8eb48f0/", "sentiment": "/sentiment/332391c5-8cb2-467c-836b-8577e8eb48f0/", "sector": "/structure/us/technology/", "industry": "/structure/us/technology/computer-hardware/"}}, {"rank": 19, "symbol": "ELOX", "name": "Eloxx Pharmaceuticals, Inc. Common Stock", "exchange": "NASDAQ", "country": "United States", "sector": "Healthcare", "industry": "Biotechnology", "score": 72.74, "rating": "Strong", "confidence": 18.94, "latest_close": 17.43, "weekly_return": 0.459799, "four_week_return": 0.387187, "volume_ratio": 1.316649, "trend_signal": false, "expectation": "negative", "pillars": {"Leadership": 57.0, "New demand": 100.0, "Sponsorship": 71.2, "Annual growth": 70.0, "Current growth": 100.0, "Market backdrop": 40.0, "Supply and demand": 52.4}, "summary": "ELOX ranks strongest on current growth; with a 100/100 read; latest weekly move 46.0%; four-week move 38.7%; volume 1.3x normal.", "evidence": {"factor": {"growth": "56/100", "quality": "54/100", "momentum": "57/100"}, "growth": {"eps_1y": "-", "eps_3y": "-", "revenue_1y": "-", "revenue_3y": "-", "earnings_surprise": "33.5%"}, "options": {"direction": "", "conviction": null}, "summary": "ELOX ranks strongest on current growth; with a 100/100 read; latest weekly move 46.0%; four-week move 38.7%; volume 1.3x normal.", "insiders": {"buy_count": 11, "buy_value": 0.0, "sell_count": 2, "sell_value": 0.0}, "sentiment": {"score": 53, "headline": "Aberdeen Group plc Acquires 400,000 Shares of Eloxx Pharmaceuticals Inc (ELOX)"}, "latest_week": "2026-07-31", "volume_ratio": "1.3x", "near_52w_high": "100.0%", "weekly_return": "46.0%", "four_week_return": "38.7%", "twelve_week_return": "-"}, "links": {"chart": "/terminal/2f8f4cef-5c73-4177-9bd3-b3034f599d39/", "report": "/terminal/2f8f4cef-5c73-4177-9bd3-b3034f599d39/report/", "factors": "/factors/ticker/2f8f4cef-5c73-4177-9bd3-b3034f599d39/", "sentiment": "/sentiment/2f8f4cef-5c73-4177-9bd3-b3034f599d39/", "sector": "/structure/us/healthcare/", "industry": "/structure/us/healthcare/biotechnology/"}}, {"rank": 20, "symbol": "QUAD", "name": "Quad Graphics Inc", "exchange": "NYSE", "country": "United States", "sector": "Industrials", "industry": "Specialty Business Services", "score": 72.59, "rating": "Strong", "confidence": 82.54, "latest_close": 10.39, "weekly_return": 0.245803, "four_week_return": 0.241338, "volume_ratio": 2.710244, "trend_signal": true, "expectation": "undecided", "pillars": {"Leadership": 88.2, "New demand": 96.6, "Sponsorship": 70.0, "Annual growth": 66.6, "Current growth": 51.3, "Market backdrop": 73.9, "Supply and demand": 76.0}, "summary": "QUAD ranks strongest on new demand; with a 97/100 read; latest weekly move 24.6%; four-week move 24.1%; volume 2.7x normal.", "evidence": {"factor": {"growth": "70/100", "quality": "76/100", "momentum": "83/100"}, "growth": {"eps_1y": "-", "eps_3y": "42.7%", "revenue_1y": "10.3%", "revenue_3y": "-9.1%", "earnings_surprise": "12.1%"}, "options": {"direction": "volatility", "conviction": 66.27}, "summary": "QUAD ranks strongest on new demand; with a 97/100 read; latest weekly move 24.6%; four-week move 24.1%; volume 2.7x normal.", "insiders": {"buy_count": 8, "buy_value": 0.0, "sell_count": 4, "sell_value": 518478.9127}, "sentiment": {"score": 55, "headline": "Quad/Graphics: Booking Profits After A Nice Quarter, Too Risky To Hold (NYSE:QUAD)"}, "latest_week": "2026-07-31", "volume_ratio": "2.7x", "near_52w_high": "100.0%", "weekly_return": "24.6%", "four_week_return": "24.1%", "twelve_week_return": "41.2%"}, "links": {"chart": "/terminal/0aa29d52-fead-4321-9734-5d34356d865a/", "report": "/terminal/0aa29d52-fead-4321-9734-5d34356d865a/report/", "factors": "/factors/ticker/0aa29d52-fead-4321-9734-5d34356d865a/", "sentiment": "/sentiment/0aa29d52-fead-4321-9734-5d34356d865a/", "sector": "/structure/us/industrials/", "industry": "/structure/us/industrials/specialty-business-services/"}}]}