🚀 Today's Biggest Winners – Who's Crushing It? | February 13, 2026
TPH, MGA, HASI made moves today. Here's what you need to know.
Top Picks
Disclaimer: This AI-generated analysis is for educational and informational purposes only. It does not constitute financial advice. Always do your own research and consult with a licensed financial advisor before making investment decisions.
Market Overview
Key Observation
Day gainers show broad upside with a median move ~10%, several names printing near 52-week highs while many low-range names are bouncing; unusual volume is concentrated in a few tickers.
Volume Analysis
Volume is skewed toward a handful of leaders (TPH, ICLR, FSLY) with extreme spikes (TPH 25.9x). Median volume spike ~2.2x indicates above-average participation across the sample, but concentration in top movers increases short-term volatility risk.
Top PicksShowing 2 of 5
TPH
Analysis
TPH is at 99.5% of its 52-week range with a 26.8% intraday gain and an extreme volume_ratio of 25.88, indicating a high‑conviction, high‑participation breakout attempt. Valuation metrics (PE 13.7, PB 1.2) classify it as a 'Quality' mover, and momentum_score 85 supports continuation bias. The data suggests this is a clear breakout candidate but also subject to sharp intraday reversals given the volume spike.
Key Metrics
Range position 99.5, change_pct 26.80%, volume_ratio 25.88
Risk Factors
Very large single-day volume spike (short-term volatility); near-term profit-taking at 52-week high.
Suggested Action
The data suggests monitoring for a daily close above the 52-week high (46.465) with sustained volume >3x; if confirmed, treat as a momentum breakout candidate and maintain predefined risk control (e.g., stop based on a prior structure or % loss).
MGA
Analysis
MGA sits at 96.9% of its 52-week range with an 18.9% gain and strong volume_ratio 5.33; momentum_score 85 and dividend_yield 3.36% combine income plus momentum characteristics. Valuation (PE 18.8, PB 1.5) is consistent with 'Quality' and the tag set includes unusual volume and income+momentum, supporting potential durable interest.
Key Metrics
Range position 96.9, change_pct 18.87%, volume_ratio 5.33
Risk Factors
Proximity to 52-week high increases chance of short-term pullback; if upside fails, reversion risk exists.
Suggested Action
The data suggests watching for confirmation above the recent high with sustained volume; treat moves that occur on falling volume as suspect and use explicit risk limits.
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