Top High Momentum Stocks

Last Updated: 1/20/2024

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.

Top High Momentum Stocks

Ticker Price Market Cap
($mil)
SLNO $47.01 $1,434
AAOI $15.81 $562
CVNA $44.92 $8,968
IMGN $29.52 $8,247
MLTX $53.53 $3,209
DHC $2.88 $692
BBIO $36.64 $6,374
ACIC $11.50 $505
EYPT $22.32 $1,090
LFMD $6.02 $229
SMCI $423.36 $23,513
APP $41.14 $13,815
CLSK $6.87 $1,269
CIFR $2.68 $689
PLSE $8.28 $456
SYM $44.10 $24,574
LMB $37.89 $417
AFRM $42.18 $12,726
DFH $33.04 $3,076
VRT $53.67 $20,472
IONQ $10.85 $2,221
TAST $9.40 $485
ANF $101.11 $5,096
CBAY $24.50 $2,778
COIN $124.75 $29,846
TALK $2.38 $398
AUR $3.10 $4,711
HOV $150.97 $938
ROVR $10.94 $1,974
MARA $16.13 $3,591
RXST $45.81 $1,643
IREN $4.32 $290
AUTL $6.11 $1,063
NVDA $594.91 $1,469,428
DAKT $7.66 $354
RIOT $10.29 $2,125
DUOL $194.60 $8,176
OLMA $11.28 $618
GRCL $9.99 $966
UPST $32.69 $2,781
IRON $64.70 $1,562
GNE $19.49 $534
ELF $157.79 $8,710
APLD $4.86 $593
BTBT $2.53 $230
PHVS $27.29 $1,422
OSCR $10.73 $2,426
IOT $32.26 $17,427
OPEN $3.15 $2,111
MOD $66.35 $3,466
ATLX $24.73 $267
MDXG $8.14 $948
MSTR $481.00 $6,577
STRL $76.20 $2,350
SKYW $49.74 $2,037
META $383.45 $985,414
PLTR $16.78 $36,496
AMRX $5.40 $1,655
DKNG $37.62 $17,540
CRWD $290.54 $69,772
INOD $8.66 $249
CMPR $73.03 $1,942
LPG $41.92 $1,702
CWCO $32.56 $513
STTK $9.02 $425
GCT $19.90 $815
ARLO $8.72 $825
MHO $133.64 $3,722
MREO $3.16 $442
XPO $84.91 $9,847
POWL $80.21 $959
WULF $1.38 $329
BLDR $172.51 $21,279
BZH $32.39 $1,021
BKD $5.79 $1,090
AI $24.81 $2,974
RCMT $29.34 $230
CLS $30.90 $3,681
SVRA $4.41 $597
ACHR $5.06 $1,522
ALPN $19.84 $1,153
NU $9.17 $43,490
FG $43.66 $5,479
NUVL $75.42 $4,724
GIII $29.90 $1,367
WEAV $11.05 $768
ESTC $120.33 $11,989
ARDX $8.28 $1,922
VERX $25.53 $3,906
BHVN $44.35 $3,558
PANW $337.74 $106,489
PAY $16.34 $2,021
WW $4.54 $359
IMVT $40.37 $5,840
IESC $84.67 $1,712
MDB $401.05 $28,947
AVDL $14.98 $1,345
UGP $5.61 $6,256
ANET $263.51 $81,978
UBER $65.11 $133,987
PGTI $41.08 $2,396
INTR $4.63 $2,010
BRBR $53.23 $6,982
FOR $33.92 $1,693
ZIMV $17.82 $473
FTAI $50.16 $5,028
PHM $106.07 $22,868
MOR $9.17 $1,372
BLD $373.26 $11,860
GSHD $75.47 $2,858
AMPH $55.04 $2,637
VKTX $21.77 $2,178
AMR $402.46 $5,346
SPOT $204.71 $39,947
SSD $182.33 $7,781
AMD $174.23 $281,468
LSEA $12.60 $476
RCL $127.00 $32,542
CABA $19.48 $835
ZS $231.29 $34,308
SHOP $80.01 $102,796
AVGO $1,211.20 $567,012
QTRX $22.39 $847
ONTO $162.87 $7,994
COCO $22.36 $1,270
OPRA $11.04 $979
TSLA $212.19 $674,535
NET $81.35 $27,315
CNM $41.04 $8,670
QLYS $196.37 $7,224
CUBI $51.78 $1,627
AVPT $7.99 $1,467
S $24.84 $7,419
SCS $12.51 $1,429
KTOS $18.35 $2,366
HY $64.37 $1,106
BRFS $2.65 $4,436
MGNX $12.00 $744
IDYA $41.03 $2,896
LII $444.05 $15,781
LRN $61.64 $2,672
GRBK $50.89 $2,309
MBC $14.39 $1,824
TOL $101.09 $10,524
FICO $1,260.21 $31,298
AMSC $9.67 $293
WING $275.75 $8,111
IBP $191.66 $5,445
REKR $3.48 $251
CLBT $8.53 $1,684
NWLI $483.48 $1,758
NVTS $6.28 $1,121
DELL $83.19 $58,760
COKE $858.64 $8,049
HCI $88.37 $847
PATH $22.23 $12,584
BCC $133.44 $5,283
FSLY $18.76 $2,454
CUK $15.76 $21,621
USM $43.68 $3,713
SAIA $450.82 $11,968
CRNX $35.50 $2,371
BPMC $81.05 $4,927
HUBS $581.40 $29,262
STNE $17.03 $5,333
BVN $14.87 $3,582
DASH $106.33 $42,342
MANH $221.41 $13,631
FIX $204.70 $7,311
HWKN $65.27 $1,367
IVVD $4.70 $518
TNK $59.05 $2,014
WRLD $142.67 $888
URGN $14.77 $456
DDOG $130.31 $42,814
CCL $17.33 $21,621
ROKU $87.07 $12,407
MRNS $9.61 $524
CRM $280.88 $271,892
VERA $14.93 $663
AMWD $92.84 $1,488
WOR $55.20 $2,760
VRNS $44.60 $4,859
IDCC $106.42 $2,735
MATX $119.60 $4,178
KBH $61.33 $4,865
NTNX $54.89 $13,321
SPNT $11.17 $1,872
MRUS $34.99 $2,020
CGNT $5.94 $418
VST $40.17 $14,363
BLBD $25.30 $814
UWMC $6.35 $10,133
SPOK $15.61 $312
PTGX $24.77 $1,429
MTH $174.01 $6,343
JHX $37.72 $16,282
CDLX $6.17 $242
ENVX $9.60 $1,611
APG $31.88 $7,774
LIAN $4.08 $441
FUSN $9.12 $660
ADBE $611.55 $276,421
WFRD $95.23 $6,868
SPLK $153.25 $25,823
NEO $15.73 $2,005
X $47.83 $10,673
RPD $54.52 $3,350
SNAP $16.42 $27,034
JELD $18.10 $1,542
SOFI $7.49 $7,181
BRZE $53.88 $5,380
XERS $2.41 $333
BASE $23.94 $1,151
CYBR $232.51 $9,711
ACMR $20.46 $1,240
TTD $66.85 $32,776
OC $150.63 $13,387
RDNT $37.78 $2,565
PETQ $18.10 $533
IMNM $13.50 $577
INFA $30.29 $8,818
ROAD $42.56 $2,243
WSM $206.42 $13,241
AKBA $1.40 $264
PLAB $31.11 $1,948
CCJ $46.99 $20,387
LQDA $12.89 $885
JAKK $30.94 $312
DECK $749.25 $19,279
TPH $35.11 $3,408
CSWI $215.45 $3,350
SOVO $22.11 $2,243
PGY $1.08 $767
TREX $82.30 $8,937
SOUN $1.85 $473
AZEK $37.43 $5,458
RKT $12.22 $24,223
TDW $68.31 $3,610
ARCT $32.77 $876
SNPS $517.31 $78,901
JOBY $5.63 $3,920
LRCX $826.32 $108,902
W $56.13 $6,620
EVLV $4.40 $665
LOGI $94.67 $16,360
TK $8.41 $765
MNDY $195.63 $9,445
DMRC $36.12 $735
ACVA $13.66 $2,205
TIMB $17.90 $8,650
JBL $124.59 $15,891
GKOS $91.29 $4,455
AROC $15.26 $2,381
CVRX $26.53 $552
KD $20.88 $4,791
MBIN $41.37 $1,789
LULU $484.02 $58,603
ESAB $87.34 $5,264
NSIT $185.89 $6,056
TMHC $54.01 $5,803
HMY $5.64 $3,505
ZEUS $64.11 $714
RDFN $7.95 $916
TNET $116.30 $5,874
YELP $44.00 $3,013
NN $3.88 $427
PRO $35.72 $1,652
BECN $85.11 $5,393
INTU $622.18 $174,171
KKR $84.19 $74,509
LLY $628.58 $596,716
AMZN $155.34 $1,605,288
DHI $155.30 $51,715
GPS $18.94 $7,024
PDD $143.64 $190,838
VNT $35.32 $5,451
ROCK $81.78 $2,489
HCC $69.97 $3,640
ACLX $55.27 $2,691
NOW $749.11 $153,568
ATGE $62.02 $2,470
CEIX $100.92 $3,130
EDU $71.95 $11,909
GLBE $37.47 $6,155
CX $7.46 $11,363
WDAY $289.99 $76,267
PRG $29.69 $1,328
INTC $48.15 $203,000
FUBO $2.60 $761
GE $129.81 $141,283
ADV $3.88 $1,266
FTI $19.37 $8,435
WINA $356.44 $1,243
ATRO $16.87 $576
USLM $224.78 $1,281
MSFT $398.67 $2,963,020
TEAM $242.96 $62,698
NEU $595.70 $5,713
WMS $134.14 $10,451
MPWR $631.33 $30,248
TFIN $75.55 $1,760
WSO $400.20 $18,046
NRG $52.52 $11,857
CRS $66.38 $3,273
SFM $51.62 $5,243
RMBS $73.22 $7,872
GPOR $126.45 $2,306
IAS $15.20 $2,406
SEMR $11.73 $1,680
ALKT $24.29 $2,316
UTI $13.95 $475
YPF $15.63 $9,685
CDNS $292.14 $79,480
FNMA $1.10 $1,274
ACAD $27.29 $4,480
FORM $42.43 $3,303
SKT $27.00 $2,907
GMS $82.65 $3,291
OSUR $7.78 $572
BX $119.08 $145,498
ENIC $2.87 $4,020
KOP $49.66 $1,034
SUPV $4.06 $498
PLUS $76.86 $2,070
TAL $11.12 $7,100
TDS $18.55 $1,966
XPEV $9.64 $9,094
FMX $133.65 $43,152
KALV $12.41 $429
CPRT $48.70 $46,763
XP $25.35 $13,867
SRRK $15.06 $1,086
LI $28.24 $29,901
FRSH $21.24 $6,272
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.

Validea.com is a research provider that is owned and operated by The Reese Group, LLC. Validea.com offers model portfolios, screening and stock analysis that is not customized to any individual. No information on Validea.com should be construed as investment advice. Validea Capital Management is a separate investment advisory firm registered with the state of Connecticut. Validea Capital offers investment management services directly to clients and is a separate entity from The Reese Group, LLC. The Reese Group and Validea Capital are affiliated entities and share partial common ownership.