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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Date
Type
or Reset

POWR Upgrades Updated: February 8, 2024

Symbol/Name Price Mkt Cap Old POWR New POWR Growth Value Momentum Quality Stability Sentiment Industry
25.16 11.27B B
A

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11.56 13.87B B
A

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1.86 N/A B
A

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12.81 1.93B B
A

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49.76 4.16B B
A

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8.96 N/A B
A

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134.42 13.21B B
A

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31.12 9.06B B
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12.53 3.31B B
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67.55 3.47B B
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32.33 2.05B B
A

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80.07 4.44B B
A

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7.03 7.64B B
A

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105.77 7.94B B
A

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24.87 12.74B B
A

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25.48 1.17B C
B

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6.09 2.98B C
B

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6.94 21.54B C
B

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2.53 N/A C
B

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2.47 168.84M C
B

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8.97 N/A C
B

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60.26 13.00B C
B

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29.22 N/A C
B

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28.51 5.99B C
B

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146.82 64.59B C
B

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2.1 169.72M C
B

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72.57 11.29B C
B

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38.96 N/A C
B

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11.46 464.16M C
B

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43.91 5.26B C
B

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11.34 308.45M C
B

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6.12 1.16B C
B

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78.82 4.81B C
B

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784.08 59.25B C
B

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8.745 4.91B C
B

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100.73 23.39B C
B

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18.29 55.73B C
B

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13.61 3.86B C
B

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124.95 11.76B C
B

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2.433 N/A C
B

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15.87 7.82B C
B

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101.09 4.66B C
B

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93.24 5.03B C
B

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11 1.29B C
B

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43.31 2.33B C
B

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106.1 N/A C
B

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40.26 13.61B C
B

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77.17 38.05B C
B

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13.45 340.29M D
C

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8.24 4.18B D
C

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31.43 2.92B D
C

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15.35 5.97B D
C

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63.47 5.42B D
C

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22.98 313.75M D
C

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15.26 3.20B D
C

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1.02 75.91M D
C

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80.71 34.76B D
C

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114.11 7.63B D
C

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41.95 464.09M D
C

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55.22 3.93B D
C

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17.13 3.69B D
C

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12.97 4.65B D
C

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35.71 1.67B D
C

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96.11 61.97B D
C

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1.11 61.13M D
C

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2.58 89.38M D
C

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32.64 2.39B D
C

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219.91 48.89B D
C

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5.02 1.46B D
C

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0.7698 12.30M F
D

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1.56 291.66M F
D

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13.49 2.12B F
D

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1.89 1.40B F
D

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3.13 324.19M F
D

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21.24 3.20B F
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POWR Downgrades Updated: February 8, 2024

Symbol/Name Price Mkt Cap Old POWR New POWR Growth Value Momentum Quality Stability Sentiment Industry
EVTL
Vertical Aerospace Ltd.,
0.71 157.06M D
F

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HROW
Harrow Health, Inc.
10.25 359.96M D
F

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RBLX
Roblox Corp.
44.87 25.74B D
F

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RVPH
Reviva Pharmaceuticals Holdings, Inc.
4.33 120.89M D
F

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AIRYY
Air China Limited
10.635 8.61B C
D

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ANY
Sphere 3D Corp.
2.38 34.17M C
D

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AOSL
Alpha and Omega Semiconductor Limited
22.5 625.16M C
D

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APPS
Digital Turbine, Inc.
3.81 385.98M C
D

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AVNW
Aviat Networks, Inc.
33.1 387.93M C
D

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CCO
Clear Channel Outdoor Holdings, Inc.
1.66 801.80M C
D

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CIZN
Citizens Holding Company
7.89 44.24M C
D

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CZNC
Citizens & Northern Corp
18.53 283.05M C
D

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ENTA
Enanta Pharmaceuticals, Inc.
12.36 261.49M C
D

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FMC
FMC Corp.
52.04 6.49B C
D

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IREN
Iris Energy Ltd
5.1 340.18M C
D

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IVZ
Invesco Ltd
15.91 7.15B C
D

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JANX
Janux Therapeutics, Inc.
9.2 424.75M C
D

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LBC
Luther Burbank Corporation
9.29 473.95M C
D

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MARA
Marathon Digital Holdings Inc.
21.58 4.80B C
D

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MDWD
MediWound Ltd. - Ordinary Shares
12.14 111.76M C
D

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RDW
Redwire Corporation,
3.03 196.34M C
D

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RIOCF
RioCan Real Estate Investment Trust
13.53 N/A C
D

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SFST
Southern First Bancshares, Inc.
33.67 272.36M C
D

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UHAL
Amerco
62.19 12.19B C
D

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VCSA
Vacasa, Inc.
9.06 201.64M C
D

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WDC
Western Digital Corp.
57.12 18.39B C
D

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BABA
Alibaba Group Holding Ltd. ADR
70.78 179.60B B
C

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BERY
Berry Global Group, Inc.
55.91 6.48B B
C

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BKR
Baker Hughes Co.
29.32 29.50B B
C

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BOUYY
Bouygues SA
7.04 N/A B
C

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BSY
Bentley Systems Inc.
52.33 14.88B B
C

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CACI
CACI International, Inc.
355.36 7.92B B
C

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CRH
CRH PLC ADR
74.65 53.38B B
C

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CVS
CVS Health Corporation
75.08 96.62B B
C

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DK
Delek US Holdings, Inc.
28.11 1.80B B
C

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DOOR
Masonite International Corp.
96.61 2.12B B
C

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DSP
Viant Technology Inc.
8.64 541.06M B
C

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FTNT
Fortinet Inc.
67.85 52.10B B
C

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N/A B
C

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GDRX
GoodRx Holdings, Inc.
6.53 2.65B B
C

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GIB
CGI Inc. Cl A
114.45 26.59B B
C

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GNE
Genie Energy Ltd. Class B Stock
18.89 517.93M B
C

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IBP
Installed Building Products, Inc.
205.44 5.89B B
C

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ILMN
Illumina Inc.
143.33 22.76B B
C

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IPGP
IPG Photonics Corp.
101.01 4.74B B
C

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IQV
IQVIA Holdings Inc.
217 39.60B B
C

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KN
Knowles Corporation
15.91 1.44B B
C

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MLM
Martin Marietta Materials Inc.
525.41 32.47B B
C

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MRAAY
Murata Manufacturing Co. Ltd. ADR
10.29 41.72B B
C

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NFLX
Netflix Inc.
558.53 241.71B B
C

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NRC
National Research Corporation
37.97 932.47M B
C

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NYT
New York Times Company (The)
43.74 7.19B B
C

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OI
O-I Glass Inc.
16.11 2.49B B
C

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ORLY
O'Reilly Automotive Inc.
1020.83 60.39B B
C

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PERI
Perion Network Ltd.
23.61 1.09B B
C

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QLYS
Qualys, Inc.
169.65 6.24B B
C

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RMR
The RMR Group Inc. -
25.62 812.44M B
C

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SHG
Shinhan Financial Group Co. Ltd. ADR
32.94 16.89B B
C

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SHW
Sherwin-Williams Co.
312.15 79.90B B
C

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TDY
Teledyne Technologies Inc.
430.67 20.32B B
C

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UL
Unilever PLC ADR
50.68 126.72B B
C

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UVV
Universal Corporation
53.58 1.32B B
C

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WOR
Worthington Industries, Inc.
58.19 2.91B B
C

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BELFB
Bel Fuse Inc. - Class B
69.84 892.49M A
B

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BRC
Brady Corporation
61.45 2.97B A
B

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CDXC
ChromaDex Corporation
1.52 114.19M A
B

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CSUAY
China Shenhua Energy Company Limited
15.2 75.58B A
B

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HCKT
Hackett Group Inc.
23.1 629.20M A
B

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IIJIY
Internet Initiative Japan Inc.
38 3.48B A
B

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LQDT
Liquidity Services, Inc.
15.46 476.85M A
B

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MOH
Molina Healthcare Inc.
381.49 22.24B A
B

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PHG
Koninklijke Philips N.V. ADR
20.5 19.04B A
B

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RM
Regional Management Corp.
23.05 226.70M A
B

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SZKMY
Suzuki Motor Corp. ADR
182.06 22.35B A
B

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TLK
Telekomunikasi Indonesia ADR
25.33 22.81B A
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Vipshop Holdings Ltd. ADR
16.47 9.65B A
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ZTS
Zoetis Inc.
195.75 89.87B A
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