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Upgrades, downgrades, or major signals – these stocks are making waves.

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Who’s climbing the ranks and who’s crashing down? Spot the latest upgrades and downgrades with exclusive access now.

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DMY1
Dummy 1
1,400
+5%
9.0
0.0
5.0
Sell
Buy
Dummy 1
Max level achieved. Once more ahead of all the rest.
DMY2
Dummy 2
1,400
+6%
7.0
4.0
0.0
Sell
Buy
Dummy 2
Back on its feet. Fundamentals looking less chaotic.
DMY3
Dummy 3
1,400
+3%
3.0
10.0
5.0
Sell
Buy
Dummy 3
Back on its feet. Fundamentals looking less chaotic.
DMY4
Dummy 4
1,400
-5%
8.0
6.0
2.0
Sell
Buy
Dummy 4
Back on its feet. Fundamentals looking less chaotic.
DMY1
Dummy 1
1,400
-4%
2.0
5.0
1.0
Sell
Buy
Dummy 1
Back on its feet. Fundamentals looking less chaotic.
DMY2
Dummy 2
1,400
+6%
5.0
1.0
4.0
Sell
Buy
Dummy 2
From weak to decent. The first signs are finally showing.
DMY3
Dummy 3
1,400
+6%
7.0
4.0
2.0
Sell
Buy
Dummy 3
From weak to decent. The first signs are finally showing.
DMY4
Dummy 4
1,400
+0%
9.0
2.0
5.0
Sell
Buy
Dummy 4
From weak to decent. The first signs are finally showing.

The stock screener that catches what looks good but isn't.

Compare Health, Risk, Performance, and Trend on every stock, side by side.

0
0
10

Overall stock screener, find the best stocks at a glance. Rankings combine Stoxcraft Rating, Health, Performance, Risk, Trend and BuyMeter, so you see what matters first. Filter by sector, market cap or dividend, and check the Earnings Streak to spot stocks that consistently beat expectations.

Above Average
Average
Below Average
Every number here is judged against its own sector, not the whole market. Risk is the exception: there, every stock is compared against the entire market, not just sector peers.
Symbol Name Rating Price Today Health Performance Risk Trend BuyMeter ESG Score Earning Streak Market Cap Volume P/E Dividend Sector Industry
InterContinental Hotels Group PLC
IHG
InterContinental Hotels Group PLC 158.16 USD +0.32 % 2.1
Hold 68.69
23.37B 224,685 29 - Consumer Cyclical Travel Lodging
Packaging Corporation of America
PKG
Packaging Corporation of America 237.18 USD -0.39 % 2.9
Buy 65.38
21.13B 615,003 24 2.38 % Consumer Cyclical Packaging & Containers
Murphy USA Inc.
MUSA
Murphy USA Inc. 511.54 USD -1.49 % 3.7
Hold 74.93
9.45B 283,084 17 0.45 % Consumer Cyclical Specialty Retail
Acme United Corporation
ACU
Acme United Corporation 62.75 USD -0.88 % 3.9
Buy 92.89
239.10M 34,922 15 1.02 % Consumer Defensive Household & Personal Products
Village Super Market, Inc.
VLGEA
Village Super Market, Inc. 45.37 USD -0.90 % 4.3
Buy 61.04
671.89M 52,006 9 2.36 % Consumer Defensive Grocery Stores
TotalEnergies SE
TTE
TotalEnergies SE 90.94 USD -1.03 % 1.5
Strong Buy 70.55
202.52B 1.58M 11 4.40 % Energy Oil & Gas Integrated
Equinor ASA
EQNR
Equinor ASA 42.19 USD -2.27 % 3.6
Buy 58.31
100.87B 3.40M 12 3.65 % Energy Oil & Gas Integrated
EOG Resources, Inc.
EOG
EOG Resources, Inc. 140.35 USD -1.76 % 2.4
Strong Buy 56.66
74.75B 3.08M 11 2.91 % Energy Oil & Gas Exploration & Production
Cheniere Energy, Inc.
LNG
Cheniere Energy, Inc. 268.54 USD -2.80 % 2.5
Buy 60.31
56.27B 1.89M 8 0.84 % Energy Oil & Gas Midstream
Petróleo Brasileiro S.A. - Petrobras
PBR
Petróleo Brasileiro S.A. - Petrobras 20.37 USD -2.26 % 2.5
Strong Buy 71.78
131.27B 18.33M 4 8.04 % Energy Oil & Gas Integrated
Texas Pacific Land Corporation
TPL
Texas Pacific Land Corporation 341.07 USD +0.83 % 7.1
Hold 72.03
23.53B 378,274 41 0.63 % Energy Oil & Gas Exploration & Production
ConocoPhillips
COP
ConocoPhillips 127.30 USD -1.58 % 2.6
Strong Buy 62.56
155.09B 6.73M 15 2.63 % Energy Oil & Gas Exploration & Production
Coterra Energy Inc.
CTRA
Coterra Energy Inc. 32.56 USD 0.00 % 4.8
Strong Buy 29.19
24.72B 9.05M 12 2.81 % Energy Oil & Gas Exploration & Production
Cenovus Energy Inc.
CVE
Cenovus Energy Inc. 30.93 USD -1.12 % 3.2
Strong Buy 73.53
57.04B 6.99M 11 1.79 % Energy Oil & Gas Integrated
Eni S.p.A.
E
Eni S.p.A. 54.71 USD -0.60 % 1.6
Buy 81.51
79.26B 382,190 19 4.62 % Energy Oil & Gas Integrated
Marathon Petroleum Corporation
MPC
Marathon Petroleum Corporation 393.52 USD +0.66 % 4.9
Buy 69.48
114.88B 2.54M 12 1.11 % Energy Oil & Gas Refining & Marketing
MPLX Lp
MPLX
MPLX Lp 56.80 USD -2.04 % 1.5
Buy 75.24
57.64B 1.37M 11 7.32 % Energy Oil & Gas Midstream
Phillips 66
PSX
Phillips 66 255.75 USD -0.05 % 4.7
Buy 56.91
102.54B 2.89M 12 2.06 % Energy Oil & Gas Refining & Marketing
Shell plc
SHEL
Shell plc 95.78 USD +0.19 % 1.7
Strong Buy 61.74
267.04B 6.27M 12 3.34 % Energy Oil & Gas Integrated
Targa Resources Corp.
TRGP
Targa Resources Corp. 277.84 USD -1.88 % 2.4
Buy 60.30
59.64B 1.22M 22 1.66 % Energy Oil & Gas Midstream
Transportadora de Gas del Sur S.A.
TGS
Transportadora de Gas del Sur S.A. 26.62 USD -2.06 % 3.9
Hold 72.20
4.01B 220,341 17 - Energy Oil & Gas Midstream
Warrior Met Coal, Inc.
HCC
Warrior Met Coal, Inc. 89.51 USD +0.63 % 6.1
Hold 61.94
4.73B 641,285 82 0.34 % Energy Coal
Tidewater Inc.
TDW
Tidewater Inc. 84.74 USD -2.40 % 5.2
Buy 58.44
4.21B 645,749 8 - Energy Oil & Gas Equipment & Services
APA Corporation
APA
APA Corporation 42.74 USD -2.15 % 3.7
Strong Buy 57.65
15.11B 5.58M 6 2.34 % Energy Oil & Gas Exploration & Production
HF Sinclair Corporation
DINO
HF Sinclair Corporation 106.82 USD +0.97 % 5.3
Strong Buy 55.62
18.99B 2.80M 15 2.37 % Energy Oil & Gas Refining & Marketing
Frontline Plc
FRO
Frontline Plc 47.73 USD -0.49 % 3.7
Strong Buy 65.84
10.63B 2.70M 13 12.02 % Industrials Marine Shipping
Oceaneering International, Inc.
OII
Oceaneering International, Inc. 46.26 USD -0.88 % 5.6
Buy 72.42
4.60B 1.00M 7 - Energy Oil & Gas Equipment & Services
Permian Resources Corporation
PR
Permian Resources Corporation 21.36 USD -2.24 % 3.4
Buy 60.25
17.88B 9.56M 11 2.75 % Energy Oil & Gas Exploration & Production
Vista Energy, S.A.B. de C.V.
VIST
Vista Energy, S.A.B. de C.V. 67.43 USD -1.27 % 4.5
Hold 61.67
7.03B 1.04M 7 - Energy Oil & Gas Exploration & Production
Western Midstream Partners, LP
WES
Western Midstream Partners, LP 45.60 USD +0.55 % 2.1
Buy 69.42
18.84B 798,037 13 7.90 % Energy Oil & Gas Midstream

The stock screener that compares every stock to the right benchmark

Stoxcraft is a free stock screener, and it doesn't just dump numbers on you. On the Health tab, every fundamental metric is color coded against its sector average, so you see instantly whether a number is actually good, or just average dressed up as good. The Risk tab flips the comparison to the overall market instead of a sector. A calm balance sheet is a calm balance sheet, whether you're in Tech or Utilities.

No finance degree required. Dividend hunters can turn on Dividends Only and use this as a dedicated dividend stock screener, built to separate real payout safety from a headline yield. Day traders get the Trend tab instead, RSI and volume doing the real talking before a move even shows up in the price. And for anyone screening with a longer horizon, this doubles as a growth stock screener too: Revenue Growth 5Y sits right next to Income Growth 5Y, so you can tell a real compounder from one good quarter. Pick a tab, and know within seconds whether a stock deserves a second look.

Stoxcraft Screener FAQ

Scrolling through thousands of tickers by hand isn't research. It's masochism. A stock screener filters for what actually matters, fundamentals, risk, momentum, dividends, so you don't have to do it manually. The Stoxcraft Screener goes one step further: every metric gets compared to its sector average or the overall market, so a number is easy to judge instead of a guess.

Yes. Turn on Dividends Only and it stacks with any preset, from Quality to Low Risk, to narrow results down to dividend payers. Pair that with the Health tab's cash flow and payout signals, and you're not just screening for yield. You're screening for yield that can survive a bad quarter.

The Trend tab is built for exactly that. Volume, RSI, and 1M/3M performance show you which stocks have real momentum right now versus which ones are just drifting. Combine it with the Momentum preset to skip straight to names that are actually moving.

It does. The Health tab surfaces Revenue Growth 5Y and Income Growth 5Y side by side, so you can separate real compounding stories from one good quarter. Stack that with a high Performance Score and you've got a shortlist worth researching further.

A number alone doesn't tell you if it's good. On the Health tab, fundamentals like Net Profit Margin, ROA, ROE, Equity Cushion and Debt Load get measured against the sector average, not the whole market. Green means stronger than sector peers, yellow means in line, red means weaker. A Utility and a Tech stock run on completely different normal ranges, so comparing within the sector keeps it fair.

Risk works differently here. Beta, Volatility and Max Drawdown get measured against the overall market instead of a sector, because a calm balance sheet is a good sign in any industry. Lower is the green outcome. A calmer stock is the safer one, not the other way around.

Health, Performance and Risk are shown on a 0 to 10 scale. Trend is shown as three arrows up or down. BuyMeter is shown as a simple label such as Strong Buy, Buy, Hold, Sell or Strong Sell.

Clean numbers keep the screener compact and skimmable. That matters most for Risk, where a higher number means a riskier stock, not a better one. No one wants to misread that at a glance.

Sector, industry, Rating, Market Cap, Health, Performance, Risk and BuyMeter. Presets like Top Rated, Quality, Momentum, Low Risk and Good Entry give you faster starting points, and Dividends Only stacks with any of them.