Rankings · data as of 2026-09-25
Long-term picks
Ranked for a 6–24 month holding period on 12-month momentum, risk-adjusted return, long-term trend, volatility and drawdown — plus valuation, profitability, growth and balance-sheet strength when fundamentals are available.
Short termLong termAll sectorsCommunication ServicesConsumer DiscretionaryConsumer StaplesEnergyFinancialsHealth CareIndustrialsMaterialsReal EstateTechnologyUtilities
The S&P 500 is above its 200-day average with a rising trend — conditions favour taking new positions at normal size.
| # | Company | Sector | Last close | 1D | Score | Rating |
|---|---|---|---|---|---|---|
| 38 | PLDPrologis | Real Estate | $133.05 | -0.58% | 53 | Hold |
| 65 | AMTAmerican Tower | Real Estate | $169.03 | +1.06% | 39 | Weak |
| 70 | ORealty Income | Real Estate | $55.54 | +0.23% | 38 | Weak |
Model output for education and research — not financial advice or a personal recommendation. Always do your own research and manage your risk.