POWR Ratings Upgrades & Downgrades

Each weekday, we make hundreds of changes to our POWR Ratings for over 6,000 stocks and ETFs. View a summary of these daily changes below.

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Type
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POWR Upgrades Updated: July 28, 2021

Symbol/Name Price Mkt Cap Old POWR New POWR Growth Value Momentum Quality Stability Sentiment Industry
TNET
TriNet Group, Inc.
79.86 5.26B B
A

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STWRY
Software AG
12.38 N/A B
A

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SSTK
Shutterstock, Inc.
103.73 3.79B B
A

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SIG
Signet Jewelers Limited Common Shares
65.12 3.43B B
A

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PARXF
Parex Resources Inc.
16.095 N/A B
A

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MGDDY
Compagnie Generale des Etablissements Michelin
32.0999 28.62B B
A

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KOF
Coca-Cola Femsa S.A.B. de C.V. ADR
55.55 93.36B C
A

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ITIC
Investors Title Company
167.59 317.42M B
A

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ILMN
Illumina, Inc.
492.22 71.86B B
A

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HSII
Heidrick & Struggles International, Inc.
42.34 825.59M B
A

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HBCP
Home Bancorp, Inc.
35.7 310.98M B
A

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GOOGL
Alphabet Inc. -
2721.88 1.82T B
A

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FIX
Comfort Systems USA, Inc.
74.27 2.69B B
A

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AMKR
Amkor Technology, Inc.
24.49 5.98B B
A

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XRX
Xerox Holdings Corp.
24.38 4.68B C
B

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VIV
Telefonica Brasil, S.A. ADS
8.1 13.68B C
B

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SY
So-Young International Inc. -
7.02 761.75M C
B

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ST
Sensata Technologies Holding plc Ordinary Shares
56.29 8.90B C
B

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SPH
Suburban Propane Partners, L.P.
16.31 1.02B C
B

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SONY
Sony Corporation
103.13 125.84B C
B

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PLUS
ePlus inc.
90.82 1.23B C
B

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PEBK
Peoples Bancorp of North Carolina, Inc.
27.27 157.87M C
B

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OG
Onion Global Limited
3.32 296.31M C
B

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NATI
National Instruments Corporation
42.08 5.54B C
B

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MAT
Mattel, Inc.
21.54 7.51B C
B

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LVMUY
LVMH Moet Hennessy Louis Vuitton SE
162.66 410.52B C
B

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LRCX
Lam Research Corp.
635 90.56B C
B

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KO
Coca-Cola Company (The)
56.74 244.64B C
B

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IFS
Intercorp Financial Services Inc. Common Shares
23.24 2.66B C
B

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HPE
Hewlett Packard Enterprise Company
14.46 18.88B C
B

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GRVI
GROVE, INC.
5.62 79.85M C
B

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FICO
Fair Isaac Corproation
527.46 15.18B C
B

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FDS
FactSet Research Systems Inc.
345.35 13.05B C
B

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EA
Electronic Arts Inc.
143.56 41.09B C
B

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CRK
Comstock Resources, Inc.
6.16 1.43B C
B

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CRC
California Resources Corporation
28.09 2.34B C
B

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CNHI
CNH Industrial N.V.
16.16 21.88B C
B

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CIM
Chimera Investment Corporation
14.66 3.38B C
B

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BVS
Bioventus Inc.
17.15 974.55M C
B

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BNTX
BIONTECH SE
313.45 75.70B C
B

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AXTA
Axalta Coating Systems Ltd.
29.97 6.98B C
B

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ATVI
Activision Blizzard, Inc
84.82 65.91B C
B

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ANGPY
Anglo American Platinum Limited
21.395 N/A C
B

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AJX
Great Ajax Corp.
13.04 299.78M C
B

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U
Unity Software Inc.
108.75 30.39B D
C

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TPIC
TPI Composites, Inc.
39.12 1.44B D
C

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QUMU
Qumu Corporation
2.56 45.04M D
C

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NTB
Bank of N.T. Butterfield & Son Limited (The) Voting Ordinary Shares
33.4 1.80B D
C

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NPSNY
Naspers Limited
37.2 81.01B D
C

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NOV
National Oilwell Varco, Inc.
13.77 5.38B D
C

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NEE
NextEra Energy Inc.
77.85 152.70B D
C

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MELI
MercadoLibre, Inc.
1637.03 81.61B D
C

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LOVE
The Lovesac Company
61.01 920.95M D
C

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EYEN
Eyenovia, Inc.
4.37 112.99M D
C

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CVBF
CVB Financial Corporation
19.25 2.62B D
C

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ACC
American Campus Communities Inc
50.08 6.90B D
C

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AAT
American Assets Trust, Inc.
37.15 2.25B D
C

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XPEV
XPeng Inc. ADR
37.34 30.00B F
D

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PEB
Pebblebrook Hotel Trust Common Shares of Beneficial Interest
22.48 2.95B F
D

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NXTD
NXT-ID Inc.
0.7862 41.91M F
D

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CTXR
Citius Pharmaceuticals, Inc.
1.98 268.24M F
D

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BNGO
Bionano Genomics, Inc.
6.19 1.73B F
D

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ACHV
Achieve Life Sciences, Inc.
7.34 45.24M F
D

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POWR Downgrades Updated: July 28, 2021

Symbol/Name Price Mkt Cap Old POWR New POWR Growth Value Momentum Quality Stability Sentiment Industry
ABML
American Battery Metals Corporation
1.6 N/A D
F

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BYFC
Broadway Financial Corporation
2.95 82.30M D
F

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CYRX
CryoPort, Inc.
60.6 2.77B D
F

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ICD
Independence Contract Drilling, Inc.
3.2 20.86M D
F

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LI
Li Auto Inc. ADR
30.64 27.72B D
F

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LYV
Live Nation Entertainment, Inc.
80.21 17.54B D
F

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NEXT
NextDecade Corporation
3.38 414.10M D
F

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PRPO
Precipio, Inc.
3.03 68.80M D
F

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ALNY
Alnylam Pharmaceuticals, Inc.
182.1 21.40B C
D

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ALSMY
Alstom SA
4.3 15.99B C
D

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ASC
Ardmore Shipping Corporation
3.35 111.18M C
D

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BL
BlackLine, Inc.
114.98 6.67B C
D

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BYRN
Byrna Technologies Inc.
23.41 484.45M C
D

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CNET
ChinaNet Online Holdings, Inc.
1.6 50.09M C
D

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DCBO
Docebo Inc.
66.07 2.16B C
D

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HLT
Hilton Worldwide Holdings Inc.
129.53 36.08B C
D

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IRT
Independence Realty Trust, Inc.
18.72 1.91B C
D

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IZEA
IZEA Worldwide, Inc.
2.27 140.31M C
D

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JG
Aurora Mobile Limited
2.34 275.43M C
D

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NEP
NextEra Energy Partners, LP Common Units representing limited partner interests
77.09 5.85B C
D

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NYC
New York City REIT
13.19 168.52M C
D

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SOFI
SoFi Technologies Inc.
15.37 12.29B C
D

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SUI
Sun Communities, Inc.
194.8 21.78B C
D

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WXXWY
WuXi Biologics (Cayman) Inc.
32.67 N/A C
D

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ZY
Zymergen Inc.
35.53 3.56B C
D

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ADP
Automatic Data Processing, Inc.
206.88 88.03B B
C

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ASMIY
ASM International NV
356.01 17.73B B
C

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AVNW
Aviat Networks, Inc.
35.16 392.53M B
C

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CHH
Choice Hotels International, Inc.
118.85 6.60B B
C

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CPRI
Capri Holdings Limited Ordinary Shares
49.42 7.48B B
C

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CSVI
Computer Services, Inc.
58 1.59B B
C

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DGII
Digi International Inc.
20.36 692.85M B
C

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DORM
Dorman Products, Inc.
100.12 3.21B B
C

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FSFG
First Savings Financial Group, Inc.
74.79 177.63M B
C

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FSK
FS KKR Capital Corp.
21.01 2.60B B
C

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GFI
Gold Fields Limited American Depositary Shares
9.51 8.44B B
C

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GMAB
Genmab A/S
44.74 29.38B B
C

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HONE
HarborOne Bancorp, Inc.
13.58 762.86M B
C

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HYMTF
Hyundai Motor Company
46.75 N/A B
C

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KOP
Koppers Holdings Inc. Koppers Holdings Inc.
30.57 649.34M B
C

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LAZY
Lazydays Holdings, Inc.
21.14 229.45M B
C

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MDLZ
Mondelez International Inc. Cl A
63.4 89.06B B
C

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MRBK
Meridian Corporation
26 160.47M B
C

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MTX
Minerals Technologies Inc.
78.38 2.64B B
C

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OXSQ
Oxford Square Capital Corp. - Closed End Fund
4.79 237.70M B
C

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PAE
PAE Incorporated
9.14 850.66M B
C

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PCAR
PACCAR Inc.
82.75 28.73B B
C

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PCH
PotlatchDeltic Corporation
51.77 3.47B B
C

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PII
Polaris Industries Inc.
128.72 7.88B B
C

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PKG
Packaging Corporation of America
138.94 13.20B B
C

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PM
Philip Morris International Inc.
98.94 154.20B B
C

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PRAA
PRA Group, Inc.
38.51 1.76B B
C

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SBRCY
Sberbank of Russia PJSC
16.45 92.89B B
C

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SFTBY
SoftBank Group Corp.
31.8138 109.63B B
C

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SILC
Silicom Ltd - Ordinary Shares
43.38 299.28M B
C

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SMBC
Southern Missouri Bancorp, Inc.
45.57 407.12M B
C

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SUP
Superior Industries International, Inc. (DE)
8.11 210.43M B
C

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VEON
VEON Ltd.
1.73 3.03B B
C

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CRAI
CRA International,Inc.
85.75 627.95M A
B

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HOLX
Hologic, Inc.
72.08 18.47B A
B

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HPQ
HP Inc.
28.47 34.20B A
B

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IART
Integra LifeSciences Holdings Corporation
70.81 5.99B A
B

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IGT
International Game Technology PLC
19.87 4.07B A
B

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IMBBY
Imperial Brands PLC
21.575 20.42B A
B

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IMIAY
IMI plc
47.1 6.31B A
B

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ISUZY
Isuzu Motors Limited
12.885 10.02B A
B

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LOMA
Loma Negra Compania Industrial Argentina S.A. ADR
7.99 952.45M A
B

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STRT
STRATTEC SECURITY CORPORATION
40.96 159.21M A
B

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SWK
Stanley Black & Decker, Inc.
195.44 31.56B A
B

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TARO
Taro Pharmaceutical Industries Ltd. Ordinary Shares
72.36 2.74B A
B

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TG
Tredegar Corporation
12.87 433.42M A
B

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THRM
Gentherm Inc
72.14 2.39B A
B

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WNS
WNS (Holdings) Limited Sponsored ADR (Jersey)
80.33 3.97B A
B

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