Weekly stock screens
Market Radar
Separate stock screens from chart indicators and review market breadth, weekly breakouts, one-year winners, and market-cap concentration.
2026-05-15
Market breadth
KOSPI 25%
KOSPI 25% / KOSDAQ 11.5%
2026-05-15
52-week highs + turnover
한국쉘석유
20 names
2026-05-15
One-year return breakouts
대한광통신 3,834.8%
KOSPI 미래산업 / KOSDAQ 대한광통신
2026-05-15
KOSPI heavyweight concentration
60.1%
3,686.8T KRW
2026-05-15
Trading value spikes
동양고속
20 names
2026-05-15
Foreign + institution co-buy
하나마이크론
20 names
2026-05-16
US market breadth
NYSE 22.7%
NYSE 22.7% / NASDAQ 23.4% / AMEX 11.1%
2026-05-16
US 52-week highs + turnover
J.B. Hunt Transport Services, Inc.
11 names
2026-05-16
US mega-cap concentration
25.54%
28.7T USD
daily
US 52-week highs + turnover
US large-cap names trading at or near 52-week highs, sorted by trading value.
2026-05-16
NASDAQ
3 names
| Rank | Name | Market | Metric | 1Y | Mkt Cap |
|---|---|---|---|---|---|
| 1 | J.B. Hunt Transport Services, Inc. JBHT | NASDAQ | 502,450,997 USD | 78.22% | 24.7B USD |
| 2 | KalVista Pharmaceuticals, Inc. KALV | NASDAQ | 237,091,411 USD | 134.27% | 1.4B USD |
| 5 | The Vita Coco Company, Inc. COCO | NASDAQ | 109,449,528 USD | 129.42% | 4.5B USD |
NYSE
7 names
| Rank | Name | Market | Metric | 1Y | Mkt Cap |
|---|---|---|---|---|---|
| 3 | Cenovus Energy Inc CVE | NYSE | 201,718,780 USD | 128.8% | 58B USD |
| 4 | Valaris Limited VAL | NYSE | 155,437,030 USD | 173.28% | 7.3B USD |
| 7 | Seadrill Limited SDRL | NYSE | 50,063,630 USD | 114.66% | 3.3B USD |
| 8 | Select Water Solutions, Inc. WTTR | NYSE | 47,857,922 USD | 123.58% | 2.7B USD |
| 9 | Kennedy-Wilson Holdings Inc. KW | NYSE | 14,582,962 USD | 76.48% | 1.5B USD |
| 10 | NGL ENERGY PARTNERS LP NGL | NYSE | 9,458,768 USD | 427.81% | 2.2B USD |
| 11 | BW LPG Limited BWLP | NYSE | 6,548,565 USD | 81.87% | 3.2B USD |
AMEX
1 names
| Rank | Name | Market | Metric | 1Y | Mkt Cap |
|---|---|---|---|---|---|
| 6 | Imperial Oil Limited IMO | AMEX | 52,845,687 USD | 87.59% | 65.2B USD |
Interpretation guide
How to read U.S. 52-week highs with turnover
The U.S. 52-Week Highs radar shows large U.S.-listed stocks trading at or near long-term highs, sorted by trading value. It helps identify which stocks are actually leading the U.S. market and whether those moves are supported by enough capital.
Selection rules
The screen starts with U.S. large-cap stocks at 52-week highs. When the exact high list is small, it includes names very close to their highs so leadership candidates are not missed.
- A 52-week high means the stock is breaking through or approaching long-term supply.
- Sorting by trading value prioritizes names where real capital is concentrated.
- One-year return shows how much momentum is already embedded.
How to interpret it
A high-turnover breakout is more likely to reflect institutional attention. But if the high list is small or concentrated in defensive sectors, it may represent selective safety rather than broad risk appetite.
- Many technology and consumer discretionary highs point to stronger growth risk appetite.
- Many utility and staples highs point to a more defensive market tone.
- Very high one-year returns require extra attention to short-term crowding risk.
How to respond
The U.S. high list is useful for finding global leadership. Korean investors can connect it to Nasdaq, semiconductors, AI, and dollar trends to judge spillover risk appetite in related Korean sectors.
- When new highs broaden, check correlation with global growth and semiconductor names.
- If only a few names are making highs, focus on individual leadership rather than the whole market.
- If price fails after the high and turnover fades, treat it as a failed breakout.
Related views
Related indicators and radar
US market breadth
U.S. advance-decline breadth, high-low balance, and participation.
Checks whether new highs are supported by broad U.S. participation.
US mega-cap concentration
Market-cap weight of the largest U.S. mega-cap stocks.
Separates mega-cap concentration from broader leadership.
NASDAQ Composite
A global gauge for growth-stock and technology risk appetite.
Connects U.S. breakouts with growth-stock appetite.