Sector Momentum

Consumer Discretionary

The dispersion inside one sector. Sector momentum picks where; this is which — and the spread within a sector is wider than the spread between them.

Within one sector these rank identically — relative strength is the raw return minus a constant (the sector median), so it cannot change the order. The toggle leads with the number you chose. To see the two axes diverge, use the whole-market view.

Best by vs sector — 50
Return minus the sector’s own median — the discriminator. Showing names that trade at least $1M/day — the tradeable floor. For the untradeable end of the market, see the red list, where the floor comes off.
#CompanyRaw 12mvs sectorCapital$/day
1LWLGLightwave Logic, Inc. - Common Stock+340.1%+344.4%Diluting$7.4M
2VSXYVictorias Secret & Co. Common Stock+316.8%+321.0%Not computable$87.0M
3XMAXXMAX, Inc. - Common Stock+250.0%+254.3%Shrinking$4.0M
4SPHRSphere Entertainment Co. Class A Common Stock+227.1%+231.4%Diluting$62.2M
5GTXGarrett Motion Inc. - Common Stock+181.0%+185.2%Shrinking$37.8M
6HYLNHyliion Holdings Corp. Class A Common Stock+165.5%+169.8%Harvesting$2.0M
7MODModine Manufacturing Company Common Stock+155.4%+159.6%Compounding$161.1M
8ATROAstronics Corporation - Common Stock+152.2%+156.5%Compounding$31.3M
9FOSLFossil Group, Inc. - Common Stock+148.2%+152.5%Shrinking$1.8M
10MOVMovado Group Inc. Common Stock+141.3%+145.5%Shrinking$2.9M
11EZPWEZCORP, Inc. - Class A Non-Voting Common Stock+130.1%+134.3%Compounding$16.0M
12RSIRush Street Interactive, Inc. Class A Common Stock+129.2%+133.5%Not computable$28.9M
13PKEPark Aerospace Corp. Common Stock+114.3%+118.6%Shrinking$3.6M
14THTarget Hospitality Corp. - Common Stock+113.2%+117.5%Diluting$3.3M
15CALYCallaway Golf Company Common Stock+105.7%+109.9%Shrinking$28.2M
16MYEMyers Industries, Inc. Common Stock+105.7%+109.9%Diluting$4.1M
17REALThe RealReal, Inc. - Common Stock+103.0%+107.3%Not computable$30.8M
18CTRNCiti Trends, Inc. - Common Stock+95.6%+99.9%Shrinking$3.3M
19LIONLionsgate Studios Corp Common Shares+94.9%+99.1%Not computable$18.1M
20MMacy's Inc Common Stock+89.5%+93.7%Shrinking$117.0M
21MSGSMadison Square Garden Sports Corp. Class A Common Stock (New)+85.5%+89.8%Not computable$49.9M
22MSGEMadison Square Garden Entertainment Corp. Class A Common Stock+85.3%+89.5%Harvesting$16.0M
23FLXSFlexsteel Industries, Inc. - Common Stock+85.0%+89.3%Harvesting$1.3M
24DCODucommun Incorporated Common Stock+84.8%+89.1%Diluting$14.0M
25PSMTPriceSmart, Inc. - Common Stock+81.2%+85.5%Compounding$25.9M
26BWABorgWarner Inc. Common Stock+80.8%+85.1%Shrinking$102.2M
27ODCOil-Dri Corporation Of America Common Stock+80.6%+84.8%Compounding$3.6M
28DBIDesigner Brands Inc. Class A Common Stock+79.7%+84.0%Diluting$3.7M
29RKLBRocket Lab Corporation - Common Stock+77.6%+81.8%Diluting$1.3B
30BLBDBlue Bird Corporation - Common Stock+76.9%+81.2%Compounding$21.5M
31KSSKohl's Corporation Common Stock+75.7%+80.0%Harvesting$68.8M
32AIRAAR Corp. Common Stock+75.2%+79.4%Not computable$33.5M
33SHOOSteven Madden, Ltd. - Common Stock+74.4%+78.6%Diluting$40.5M
34RCKYRocky Brands, Inc. - Common Stock+73.2%+77.4%Shrinking$1.4M
35GCTGigaCloud Technology Inc - Class A Ordinary Shares+72.8%+77.0%Compounding$20.7M
36PRSUPursuit Attractions and Hospitality, Inc. Common Stock+69.7%+73.9%Compounding$7.8M
37ROSTRoss Stores, Inc. - Common Stock+68.8%+73.1%Compounding$436.9M
38FIGSFIGS, Inc. Class A Common Stock+66.1%+70.4%Compounding$22.6M
39FCFSFirstCash Holdings, Inc. - Common Stock+64.9%+69.2%Compounding$45.1M
40CASYCaseys General Stores, Inc. - Common Stock+64.8%+69.1%Not computable$199.5M
41ESLTElbit Systems Ltd. - Ordinary Shares+62.8%+67.1%$66.2M
42AEOAmerican Eagle Outfitters, Inc. Common Stock+62.3%+66.5%Diluting$99.7M
43DANDana Incorporated Common Stock+61.8%+66.1%Compounding$37.6M
44NPOEnpro Inc. Common Stock+60.7%+64.9%Compounding$41.0M
45PHINPHINIA Inc. Common Stock+60.5%+64.8%Diluting$22.4M
46STRZStarz Entertainment Corp. - Common Shares+60.2%+64.5%Shrinking$1.8M
47ENTGEntegris, Inc. - Common Stock+58.6%+62.9%Harvesting$260.5M
48OPLNOPENLANE, Inc. Common Stock+57.1%+61.3%Harvesting$22.1M
49XHRXenia Hotels & Resorts, Inc. Common Stock+56.4%+60.6%Shrinking$11.0M
50LOCOEl Pollo Loco Holdings, Inc. - Common Stock+55.1%+59.4%Compounding$2.7M
What the badges mean

Capital state — what the company is doing with its money

Compounding
Capital base growing AND profit growing — deploying money and earning a return on it. NVDA, COST, KLAC.
Harvesting
Capital base shrinking via buybacks or deleveraging while profit GROWS. Healthy — Apple, GE. Blue, never a warning colour, and never on the red list.
Diluting
Pouring more capital into falling profit — growing revenue while destroying value. INTC, PFE. Red-list eligible.
Shrinking
Capital base AND profit both collapsing — the business is evaporating. Fossil, Lumen. Red-list eligible.
Not computable
Computed, and there is genuinely not enough filing history to place it. An absence, not a verdict — and distinct from “not computed”, which means we never ran leg 3 for that row at all.

Share class — the row is one company, which may list several classes

+1
This company lists N more common classes than the one shown (GOOG/GOOGL, LEN/LEN.B). The row is company-level; the visible ticker is just the label we sort under. The return is priced off the most LIQUID class, not the alphabetically first — hover to see which.
basis?
This multi-class company has no volume data, so we cannot say which class priced its return. We do NOT fall back to the first listing — that fallback is the bug that once made a return a fact about the alphabet. Treat this row’s relative strength as unverified.