Breakout & Setup
Qullamaggie: Continuation Base
Source: fundamental data & SEC filings (annual and quarterly reports, 10-K/10-Q) · Market filter active: the list shows 4 hits from US
Kullamägi's main setup (breakout/continuation): first a big move (≥ 25% in the last month), then an orderly, tight consolidation with higher lows, where price 'surfs' the rising 10-day line (≤ 3% distance from the 10-SMA) — with clearly contracting volume (current week ≤ 70% of the prior week). It's out of exactly this quiet base that he trades the range-expansion breakout (entry at the opening-range high, stop at the day's low, partial sell after 3–5 days, the rest trailed along the 10-/20-day line). Note: the original thresholds (±2% to the 10-SMA, volume −50%) are slightly loosened here, otherwise the list would sit empty on some days.
Global filters: 10- and 30-day ADR must be ≥ 1% (too little movement gets cut); names with a red Stress RS (rating ≤ 30 — weak on stress days) are excluded.
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Terms in This Scanner Explained
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- ADR (Average Daily Range)
- The average daily swing of a stock in percent - measured over 10 or 30 trading days (columns "ADR 10D/30D"). An ADR of 5% means: on a normal day the gap between the intraday low and high runs about 5%. Traders look for movement - that is why stocks with an ADR under 1% are filtered out globally. Not to be confused with ADR meaning "American Depositary Receipt" (a US certificate for foreign shares) - here ADR always means the daily swing.
- AI Classification
- Our company-by-company assessment of the AI boom based on SEC filings (the last four quarterly 10-Q reports and two annual 10-K reports): "Sells AI" (AI is a revenue source), "Threatened" (AI is a concrete business risk), "Uses AI" (operational use), or "Neutral" (no material AI exposure). Every classification requires at least two direct quote citations - otherwise the column shows "-". Not a quality judgment or a buy recommendation; the full file is on the stock page, methodology at /stocks/ai-rating-methodology.
- Analysis (Full Company Analysis)
- If the Analysis column shows "Read," there is an in-depth Minnow Street company analysis for this stock: business model, scanner findings, quarterly results, evidence from SEC filings, plus opportunities and risks. One click opens it directly.
- Avg/Yr 3Y (Average Annual Return)
- The stock's average annual return over the past 3 years. Shows at a glance whether a stock delivers over the long run or just had a short hot streak.
- Breakout
- The price clears a level where it previously failed multiple times (top of a base, an old high) - ideally on clearly elevated volume. For many momentum strategies, the breakout is the actual buy signal.
- Earnings Date
- The date of the next quarterly earnings report. Price gaps in either direction are common around this date - that is why we color it red when it is 7 days away or less, and yellow when it is 14 days away or less: elevated risk for fresh positions.
- EPS (Earnings per Share)
- Quarterly earnings divided by the number of shares outstanding. The most important growth metric: if EPS rises strongly over several quarters, the company is earning more money per share.
- Free Cash Flow (FCF)
- Operating cash flow minus capital expenditures - the money left over for everything else (debt paydown, acquisitions, or buybacks). Consistently positive free cash flow is one of the most honest signs of a healthy business model.
- Funda Rating (Fundamental Rating A+ to F)
- Our proprietary fundamental rating from -100 to +100 with a school-grade rank from A+ to F. Every stock is scored against all others by percentile: growth in earnings and revenue, earnings surprises, analyst estimates, and quality criteria such as margins, cash flow, and balance-sheet strength. A/A+ are the fundamentally strongest stocks in the universe.
- Market Capitalization (Mkt Cap)
- The market value of the company: share price x total shares outstanding, shown here in billions of dollars. Micro caps (< $0.3B) are small and volatile, mega caps (> $200B) are heavyweights. Our scanner universe is deliberately capped at $50B - we look for stocks with room to run.
- Net Margin
- How much of revenue is left as profit? Net income divided by revenue, in percent. A 20% margin means: out of every dollar of revenue, 20 cents is left as profit. Rising margins are a strong quality signal.
- Opening Range High/Low
- The high and low of the first minutes of trading (e.g., the first 5 or 60 minutes). Qullamaggie buys breakouts above the opening-range high and sets the stop at the day's low - an entry with clearly defined risk.
- Operating Cash Flow (OCF)
- The cash that actually flows into the company from day-to-day operations - without accounting effects such as depreciation. A company can report book profits while still burning cash; operating cash flow reveals that.
- Piotroski F-Score
- A balance-sheet health check developed by Joseph Piotroski: 9 yes/no criteria covering earnings, cash flow, leverage, and efficiency produce a score from 0 to 9. Scores of 7 or higher are considered financially very solid, scores under 3 a warning sign.
- Sector & Industry
- Two levels of industry classification: sector is broad (e.g., Technology), industry is narrow (e.g., Semiconductors). Many strategies watch industry strength, because strong stocks are almost always found in strong industries.
- SMA / Moving Average (10-, 20-, 50-, 200-Day Line)
- The average price of the last X days, plotted as a line on the chart (Simple Moving Average). The 50-day and 200-day lines are the most closely watched: price above the line = uptrend intact. The 30-week line from the Weinstein method corresponds to the 150-day line.
- Stage (Weinstein Stages 1-4)
- Stan Weinstein divides every price chart into four stages: Stage 1 = basing (sideways after a downtrend), Stage 2 = uptrend (the only buying stage), Stage 3 = topping, Stage 4 = downtrend (avoid, or short candidate). Measured against the 30-week line (150-day moving average) and its slope.
- Stress RS (Strength on Stress Days)
- A stress day is a day on which both the overall market and the stock's own sector fell at least 0.5%. Stress RS counts on how many of these days the stock still closed green (shown as "g/n" = green days out of n stress days) and turns that into a rating from 1 to 99. High values point to buyers stepping in even on weak days - often a sign of institutional accumulation.
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| Symbol | Earnings | Avg/Y 3Y | Stress RS | Stage | Funda Rating | Piotroski | MktCap | Industry | AI Rating | Deep Dive | Deep-Dive Report | Sector | Price | YTD | 6 Mo. | 1 Year | Off High | Price Target | RS | EPS Rating | ADR 10D | ADR 30D | Beta | P/E | P/E (f) | P/S | P/B | P/FCF | PEG | EV/EBITDA | EBIT Margin | Gross Margin | Net Margin | ROE | ROA | Debt/Eq | Equity Ratio | Sales +/Y | Div. Yield | Payout Ratio | Altman Z | Inst. % | Short % | Analysts |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| PAYO Payoneer Global Inc | 08/05 | +17 % | 73 7/25 | Stage 3 | B +20 | 4 of 9 | 2.4 | Software - Infrastructure | – | — | — | Technology | 7.10 $ | +25.6 % | +25.3 % | +6.5 % | −8.2 % | +5.1 % | 70 | 61 | 1.2 % | 4.3 % | 0.95 | 35.4 | 0.0 | 2.2 | 3.6 | 12.1 | — | 10.9 | 11.5 % | 84.9 % | 6.8 % | 10.2 % | 1.1 % | 0.12 | 7.7 % | +7.7 % | 0.0 % | 0.0 % | 3.5 | 91.9 % | 5.1 % | 1.1 (9) |
| NSP Insperity Inc | 08/07 | -21 % | 96 13/29 | Stage 3 | D -19 | 3 of 9 | 1.3 | Staffing & Employment Servic | – | — | — | Industrials | 51.70 $ | +0.1 % | +16.0 % | -31.6 % | −39.3 % | +2.8 % | 42 | 19 | 7.8 % | 6.7 % | 0.57 | — | 22.7 | 0.2 | 23.6 | 20.1 | 1.94 | 28.7 | 3.3 % | 13.0 % | -0.4 % | -26.9 % | -0.5 % | 6.42 | 3.1 % | +3.5 % | 5.3 % | 3.1 % | 4.7 | 111.8 % | 14.3 % | 2.0 (5) |
| TRIP TripAdvisor Inc | 08/06 | -8 % | 43 6/31 | Stage 3 | D -35 | 4 of 9 | 1.5 | Travel Services | Threatened | — | — | Consumer Cyclical | 14.40 $ | -14.9 % | -1.5 % | -0.6 % | −36.5 % | +11.4 % | 33 | 80 | 6.1 % | 5.5 % | 0.87 | — | 11.0 | 0.8 | — | 8.2 | 0.33 | 9.1 | -5.7 % | 63.0 % | 1.0 % | 2.9 % | 2.4 % | — | 22.9 % | +3.1 % | 0.0 % | 0.0 % | 4.9 | 114.4 % | 34.9 % | 1.9 (19) |
| FWRD Forward Air Corporation | 08/10 | -29 % | 37 5/29 | Stage 4 | D -26 | 4 of 9 | 0.4 | Integrated Freight & Logisti | – | — | — | Industrials | 13.20 $ | -47.7 % | -43.3 % | -39.4 % | −56.0 % | +28.3 % | 7 | 88 | 5.9 % | 7.3 % | 1.36 | — | 19.9 | 0.2 | — | 11.7 | 0.65 | 12.9 | — | 20.5 % | -3.7 % | -69.1 % | 2.1 % | — | — | +0.8 % | 0.0 % | 0.0 % | 2.8 | 108.3 % | 15.3 % | — |
Price Chart
Quarterly Figures
No quarterly data available.
Frequently Asked Questions
Kullamägi's main setup (breakout/continuation): first a big move (≥ 25% in the last month), then an orderly, tight consolidation with higher lows, where price 'surfs' the rising 10-day line (≤ 3% distance from the 10-SMA) — with clearly contracting volume (current week ≤ 70% of the prior week).
All scanners are recalculated daily across the entire stock universe — most recently on 21. July 2026. The data basis is fundamental data and SEC filings (10-K annual reports and 10-Q quarterly reports).
Currently, 4 stocks pass this scanner's criteria (as of 21. July 2026).
Global filters: 10- and 30-day ADR must be ≥ 1% (too little movement gets cut); names with a red Stress RS (rating ≤ 30 — weak on stress days) are excluded.
Related scanners
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- Ben Bennett: Power of Four
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- Gap-Up (≥3%)
- Green Line Breakout
- High ADR — Hot Theme
- Inside Day
- Inside Day at Highs
- Mark Minervini: Power Play
- Oliver Kell: Bull Snorts
- Oliver Kell: Gappers
- Oops Reversal
- Pocket Pivot
- Pradeep Bonde: $ Breakout Bullish
- Pradeep Bonde: 4% Breakout Bullish
- Qullamaggie: Episodic Pivot
- Qullamaggie: High Tight Flag
- Strong DCR (≥80)
- Tight & Near High
- Tight Weekly Closes
- Tight Weekly Range (WCR≥90)
- Volume Surge
- Volume Surge
Note: pure fact-based analysis, not investment advice and not a solicitation to buy or sell. All figures without guarantee.