Momentum Stocks

Momentum exposure measures how well a stock has performed. We measure both price momentum (how much the stock has gone up relative to its peers) and fundamental momentum (how fast its underlying business has been growing). To measure price momentum, we use the 12-1 return, which is a stock's return in the past 12 months, excluding the most recent month. The most recent month is excluded because short-term momentum often tends to reverse, so excluding it provides a better momentum signal.

Stocks With Highest Momentum Factor Exposure

Ticker Price Market Cap
($mil)
OCGN $6.34 $1,257
GME $233.34 $16,757
KIRK $23.77 $339
SUNW $9.91 $268
ACRS $18.38 $1,106
BGFV $29.21 $651
SAVA $77.00 $3,081
TKAT $20.50 $239
DAC $73.93 $1,523
KOSS $25.29 $215
AMTX $14.15 $445
MVIS $21.60 $3,412
BLNK $39.50 $1,658
RIOT $31.03 $2,611
CRIS $8.01 $733
NLST $2.19 $472
BNGO $7.58 $2,114
ZDGE $15.23 $206
CMBM $48.26 $1,270
BXC $41.96 $397
RFP $13.17 $1,043
VUZI $18.69 $1,179
CLSK $18.26 $620
TTI $3.83 $485
STIM $15.63 $403
PACB $29.22 $5,796
APPS $73.90 $6,896
TUP $24.49 $1,216
MOXC $14.80 $286
DQ $68.69 $5,050
STKS $12.72 $384
TWI $9.27 $571
PRTY $10.09 $1,123
GSM $5.77 $976
HOME $36.40 $2,387
CTRN $84.80 $788
SOL $9.45 $659
SI $96.36 $2,442
CBAT $4.83 $427
NIO $45.68 $57,088
ANVS $91.00 $723
HOV $94.51 $585
CELH $63.81 $4,679
TGB $2.40 $681
FLL $9.85 $336
KOPN $8.44 $770
SIG $74.75 $3,937
IEA $12.29 $305
RICK $69.57 $626
HMHC $10.53 $1,342
CSSE $37.51 $525
VTGN $2.80 $397
TRCH $3.12 $454
CVGI $11.44 $377
GOGO $11.59 $1,270
MCRB $20.54 $1,883
TCS $13.85 $699
ORGO $15.12 $1,939
SID $8.90 $12,338
PLUG $31.85 $18,101
CAN $8.72 $1,379
XPEL $90.21 $2,491
LQDT $22.89 $804
OEG $4.96 $259
MSTR $516.44 $5,033
CLPT $19.69 $409
XXII $4.79 $779
SENS $4.01 $1,717
CYH $16.15 $2,134
SEEL $3.36 $342
BSET $30.70 $304
LOB $57.62 $2,484
OMI $47.54 $3,573
GEVO $8.36 $1,657
FLGT $73.95 $2,145
JMIA $30.06 $2,694
SGRY $65.54 $3,925
FCX $40.85 $59,867
IDT $37.80 $974
NWBO $1.58 $1,345
EXPI $35.79 $5,182
NMM $29.46 $687
HYRE $18.98 $387
LB $67.01 $18,550
AVNW $38.87 $434
SUP $8.74 $227
HIBB $83.40 $1,335
SGMS $75.75 $7,278
AMPE $1.78 $348
SM $21.74 $2,561
BNED $9.52 $489
ESTA $79.17 $1,875
TMST $15.99 $731
CLNE $10.80 $2,159
AA $37.38 $6,980
FINV $8.28 $2,346
HRI $106.05 $3,140
RUBY $27.60 $2,465
SBOW $22.64 $276
PDSB $12.06 $269
GTLS $147.83 $5,373
FLXS $46.92 $322
BBW $18.24 $292
AVID $36.59 $1,654
HIMX $14.24 $2,474
CDMO $23.11 $1,406
GDEN $46.13 $1,313
EMAN $3.44 $249
RYAM $7.77 $494
ARCB $60.10 $1,526
AR $14.10 $4,420
CLF $24.44 $12,205
CDEV $6.62 $1,848
OPRX $50.31 $869
DDS $168.98 $3,573
OSTK $90.16 $3,877
GSL $20.38 $753
VCEL $57.58 $2,669
VLRS $17.97 $1,917
FNKO $23.41 $1,171
CELC $26.90 $340
LOVE $91.39 $1,373
SB $4.35 $464
SBLK $22.55 $2,298
OLN $48.82 $7,772
ANF $43.10 $2,652
UAVS $5.81 $525
TBK $81.84 $2,036
SLCA $11.08 $824
NTLA $85.29 $5,813
UPWK $50.60 $6,383
RRD $7.06 $510
SWAV $178.96 $6,261
CRDF $7.88 $296
MTDR $33.64 $3,929
DNN $1.41 $1,125
RILY $65.48 $1,781
EVH $19.43 $1,689
RFL $43.70 $729
TROX $23.38 $3,583
SCHN $55.89 $1,535
CROX $108.64 $7,087
CAR $94.24 $6,584
DAR $71.88 $11,729
VSTO $43.03 $2,485
GSAT $1.30 $2,330
INFI $3.45 $306
WBT $24.17 $3,430
ACH $14.33 $13,437
GPS $32.31 $12,200
THC $68.78 $7,345
UMC $9.46 $23,257
KTB $64.01 $3,689
MT $33.18 $36,637
JYNT $76.64 $1,090
BBBY $31.91 $3,403
TPR $44.30 $12,353
MESA $9.82 $351
X $28.66 $7,728
CPRI $55.90 $8,459
SESN $4.25 $736
CAL $27.91 $1,068
ZEUS $35.12 $389
TSE $63.73 $2,469
BW $8.50 $729
ORBC $11.30 $899
SD $6.37 $233
ESTE $10.37 $814
CALX $46.84 $2,944
VOXX $15.19 $364
TGH $32.62 $1,634
MOD $17.22 $889
MVBF $42.15 $490
TGLS $22.71 $1,083
ATKR $74.08 $3,481
GPRE $33.62 $1,500
REZI $31.02 $4,462
GES $27.57 $1,790
AFMD $8.15 $969
SPWR $25.90 $4,468
TSLA $609.89 $587,526
MTZ $117.22 $8,711
CX $8.31 $12,671
PFMT $3.77 $208
VEDL $15.16 $14,049
MRLN $22.90 $275
FCEL $10.58 $3,412
OVV $31.41 $8,201
CNTY $15.05 $445
DFIN $31.98 $1,070
AEO $34.32 $5,756
BCRX $16.71 $2,969
REKR $10.76 $441
SNBR $117.86 $2,883
PLXP $12.30 $281
SEAS $55.55 $4,392
WCC $111.00 $5,570
RRR $44.70 $5,228
DDD $29.83 $3,730
BOOT $75.90 $2,220
CLDX $31.04 $1,230
LEAF $8.49 $306
ATEC $14.36 $1,400
AMRS $15.85 $4,620
ALDX $12.34 $711
VXRT $8.74 $1,069
ROKU $346.98 $45,940
NVAX $209.68 $15,536
TEX $48.15 $3,361
LAZY $23.36 $251
CMRX $8.44 $728
VRTV $63.95 $1,002
BYD $62.83 $7,042
NFE $38.99 $8,059
PERI $17.02 $555
AVXL $15.50 $1,086
MNKD $4.05 $1,009
LPX $58.61 $5,993
CUBI $40.69 $1,313
POLY $38.46 $1,609
NTP $36.90 $1,446
UEC $3.20 $746
PINS $68.18 $43,421
MOS $34.59 $13,137
LAD $333.99 $10,094
HZO $48.01 $1,064
EVRI $22.28 $1,963
COOP $33.98 $2,927
MYRG $90.02 $1,515
COWN $38.55 $1,036
RVLV $57.40 $4,145
PLAY $42.87 $2,065
BILI $111.41 $42,661
KODK $9.24 $725
NVCR $216.28 $22,366
FVRR $205.39 $7,362
CRTO $40.45 $2,459
MGI $9.68 $771
PLG $3.85 $287
CASH $51.77 $1,653
FUV $14.12 $505
INSE $11.85 $275
MED $289.49 $3,405
PBI $9.17 $1,609
FRTA $23.43 $1,562
CCRN $17.11 $645
CNDT $8.15 $1,731
RCKY $54.78 $399
INVE $15.70 $345
MDRX $18.08 $2,552
PENN $83.84 $13,109
ADNT $49.11 $4,627
RH $682.52 $14,354
WAL $97.23 $10,061
CHS $5.75 $705
PDCE $47.83 $4,750
ALLY $54.79 $20,310
RRGB $32.51 $510
GNRC $349.18 $21,982
III $5.78 $278
EVLO $14.97 $799
STAA $147.01 $6,894
LE $34.54 $1,139
IVZ $29.30 $13,521
SIVB $561.79 $30,514
ARLO $6.86 $558
Performance Disclaimer: Returns presented on Validea.com are model returns and do not represent actual trading. As a result, they do not incorporate any commissions or other trading costs or fees. Model portfolios with inception dates on or after 12/30/2005 include a combination of back tested and live model returns. The back-tested performance results shown are hypothetical and are not the result of real-time management of actual accounts. The back-testing of performance differs from actual account performance because the investment strategy may be adjusted at any time, for any reason and can continue to be changed until desired or better performance results are achieved. Back-tested returns are presented to provide general information regarding how the underlying strategy behind the portfolio performed in our historical testing. A back-tested strategy has the benefit of hindsight and the results do not reflect the impact that material economic or market factors may have had on advisor's decision-making if actual client assets were being managed using this approach. The model portfolios offered on Validea are concentrated and as a result they will exhibit high levels of volatility and their performance can be substantially impacted by the performance of individual positions.

Optimal portfolios presented on Validea.com represent the rebalancing period that has led to the best historical performance for each of our equity models. Each optimal portfolio was determined after the fact with performance information that was not available at portfolio inception. As a result, an investor could not have invested in the optimal portfolio since its inception. Optimal portfolios are presented to allow investors to quickly determine the portfolio size and rebalancing period that has performed best for each of our models in our historical testing.

Both the model portfolio and benchmark returns presented for all equity portfolios on Validea.com are not inclusive of dividends. Returns for our ETF portfolios and trend following system, and the benchmarks they are compared to, are inclusive of dividends. The S&P 500 is presented as a benchmark because it is the most widely followed benchmark of the overall US market and is most often used by investors for return comparison purposes. As with any investment strategy, there is potential for profit as well as the possibility of loss and investors may incur a loss despite a past history of gains. Past performance does not guarantee future results. Results will vary with economic and market conditions.