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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POWR Upgrades Updated: October 25, 2021

Symbol/Name Price Mkt Cap Old POWR New POWR Growth Value Momentum Quality Stability Sentiment Industry
23.89 N/A B
A

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25.27 4.49B B
A

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24.25 2.62B B
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112.53 12.60B B
A

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50.35 2.21B B
A

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58 9.31B B
A

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45.25 14.24B B
A

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49.25 6.57B B
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224.91 4.77B B
A

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119.48 57.75B B
A

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133.54 19.12B B
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21.99 33.85B B
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51.55 675.15M B
A

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32.55 66.83B B
A

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66.04 2.22B C
B

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1.89 102.34M C
B

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10.79 5.22B C
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36.6 4.29B C
B

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165.18 27.28B C
B

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89.16 20.29B C
B

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56.97 1.57B C
B

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32.65 92.89B C
B

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13.15 2.82B C
B

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33.52 631.18M C
B

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109.42 32.14B C
B

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59.16 5.39B C
B

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12.02 N/A C
B

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385.1 71.71B C
B

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7.3 74.96M C
B

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29.49 4.69B C
B

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21.83 20.66B C
B

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48.35 1.05B C
B

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14.69 427.13M C
B

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348.5 480.93M C
B

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46.59 555.35M C
B

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101.38 4.46B C
B

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9.45 1.20B C
B

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37.7 N/A C
B

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284.31 6.71B C
B

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33.24 1.22B C
B

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6.4 24.00B C
B

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2.57 21.27M C
B

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12.13 1.15B C
B

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19.1 14.75B C
B

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24.58 1.82B C
B

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4.4 223.37M D
C

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44.51 2.14B D
C

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60.02 7.66B D
C

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30.65 1.02B D
C

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18.76 211.99M D
C

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8.11 N/A D
C

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15 3.78B D
C

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30.4 489.68M D
C

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3.82 33.83M D
C

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47.82 2.72B D
C

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2.18 52.92M D
C

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187.48 7.02B D
C

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156.72 44.29B D
C

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9.07 156.46M D
C

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8.21 100.16M D
C

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1.68 159.14M F
D

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20.69 16.44B F
D

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3.4 311.38M F
D

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4.32 168.69M F
D

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4.47 101.62M F
D

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4.28 40.25M F
D

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3.3 N/A F
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POWR Downgrades Updated: October 25, 2021

Symbol/Name Price Mkt Cap Old POWR New POWR Growth Value Momentum Quality Stability Sentiment Industry
ADTX
ADiTx Therapeutics Inc.
1.62 23.80M D
F

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AFIB
Acutus Medical Inc.
8.15 282.06M D
F

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AUPH
Aurinia Pharmaceuticals Inc
29.84 3.83B D
F

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BNGO
Bionano Genomics, Inc.
5.19 1.45B D
F

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GOED
1847 Goedeker Inc.
3.15 335.12M D
F

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GTLS
Chart Industries, Inc.
174.18 6.34B D
F

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KURA
Kura Oncology, Inc.
17.38 1.15B D
F

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MRTX
Mirati Therapeutics, Inc.
186.39 9.62B D
F

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AAGIY
AIA Group Limited
46.91 141.86B C
D

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BKD
Brookdale Senior Living Inc.
6.63 1.23B C
D

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BL
BlackLine, Inc.
123.59 7.22B C
D

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CVBF
CVB Financial Corporation
19.84 2.70B C
D

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FHB
First Hawaiian, Inc.
29.05 3.76B C
D

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GWRE
Guidewire Software, Inc.
125.31 10.41B C
D

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IMAB
I-Mab ADR
67.64 5.21B C
D

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LUNA
Luna Innovations Incorporated
9.32 296.37M C
D

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MTCR
Metacrine Inc.
1.44 38.20M C
D

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NURO
NeuroMetrix, Inc.
7.61 42.84M C
D

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PCSA
Processa Pharmaceuticals, Inc.
7.1 110.80M C
D

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PRTK
Paratek Pharmaceuticals, Inc.
4.9 239.10M C
D

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TBK
Triumph Bancorp, Inc.
116.63 2.93B C
D

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TCBI
Texas Capital Bancshares, Inc.
59.58 3.01B C
D

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ALIZY
Allianz SE
23.02 94.91B B
C

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ALV
Autoliv, Inc.
93.63 8.19B B
C

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BFST
Business First Bancshares, Inc.
26.85 550.86M B
C

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BNTX
BioNTech SE ADR
294.92 71.52B B
C

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CBAN
Colony Bankcorp, Inc.
18.86 257.89M B
C

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CCI
Crown Castle International Corp.
177.64 76.78B B
C

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CVCY
Central Valley Community Bancorp
21.3 255.26M B
C

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DAVA
Endava plc American Depositary Shares (each representing one Class A Ordinary Share)
154.13 8.59B B
C

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DHR
Danaher Corp.
306.1 218.52B B
C

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EBR
Centrais Eletricas Brasileiras S/A ADR
6.63 10.40B B
C

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EBTC
Enterprise Bancorp Inc
36.9 443.02M B
C

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HRI
Herc Holdings Inc.
179.31 5.32B B
C

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INBK
First Internet Bancorp
35.25 347.35M B
C

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KIKOY
Kikkoman Corporation
40.59 N/A B
C

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KLBAY
Klabin S.A.
8.75 4.61B B
C

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LCNB
LCNB Corporation
17.38 217.25M B
C

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LTRX
Lantronix, Inc.
7.52 223.34M B
C

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NWG
Natwest Group plc
6.4 37.07B B
C

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NWHUF
NorthWest Healthcare Properties Real Estate Investment Trust
10.855 N/A B
C

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OCDX
Ortho Clinical Diagnostics Holdings plc
19.06 4.24B B
C

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PG
Procter & Gamble Company (The)
140.85 340.85B B
C

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PINC
Premier, Inc. -
39.13 4.80B B
C

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PRTA
Prothena Corporation plc - Ordinary Shares
62.67 2.77B B
C

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SALM
Salem Media Group, Inc. -
4.38 117.69M B
C

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SIRI
Sirius XM Holdings Inc.
6.04 24.46B B
C

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SLB
Schlumberger Ltd.
34.36 48.05B B
C

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SLM
SLM Corporation
18.74 5.73B B
C

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SMFG
Sumitomo Mitsui Financial Group Inc Unsponsored American Depositary Shares (Japan)
6.67 45.83B B
C

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STRT
STRATTEC SECURITY CORPORATION
32.64 128.60M B
C

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TLSNY
Telia Company AB
8.185 16.74B B
C

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YARIY
Yara International ASA
25.74 13.11B B
C

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AMX
America Movil, S.A.B. de C.V. American Depository Receipt Series L
17.42 57.57B A
B

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BMY
Bristol-Myers Squibb Co.
57.81 128.46B A
B

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DVA
DaVita Inc.
113.86 11.93B A
B

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DXLG
Destination XL Group, Inc.
6.6 419.42M A
B

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GPI
Group 1 Automotive, Inc.
203.06 3.67B A
B

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GPRK
Geopark Ltd Common Shares
15.56 949.63M A
B

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IIIN
Insteel Industries, Inc.
38.11 737.73M A
B

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INTC
Intel Corporation
49.41 200.46B A
B

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LEE
Lee Enterprises, Incorporated
21.44 126.26M A
B

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LXFR
Luxfer Holdings PLC Ordinary Shares
20.56 589.04M A
B

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MOG.A
Moog Inc.
79.72 2.56B A
B

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OMF
OneMain Holdings, Inc.
54.13 7.15B A
B

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STWRY
Software AG
11.7735 N/A A
B

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TAK
Takeda Pharmaceutical Company Limited
14.03 44.40B A
B

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WNS
WNS (Holdings) Limited Sponsored ADR (Jersey)
84.73 4.12B A
B

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