APEX BREAKOUT

Institutional Volume Surge Screener · Powered by Financial Modeling Prep /stable/ API
Breakouts
Watch
Loaded
Last Update
Initializing FMP /stable/ connection…
FMP STABLE
API KEY
▸ Screening Strategy — 5 Criteria Overlay
📈
Track Record
Revenue growth YoY from FMP financial-growth endpoint.
🔭
Future Growth
Forward estimates & EPS growth from FMP key-metrics.
😴
Sideways Base
52W high/low range, beta compression via FMP quote & profile.
🏦
Inst. Volume Signal
Volume ÷ avgVolume ratio — real-time from FMP stable quote.
🚀
Breakout Score
Composite 0–100: vol surge (40%) + fundamentals (35%) + base (25%).
Index
Signal
Sector
Min Score
Sort By
⚡ FMP LIVE
Connecting to financialmodelingprep.com/stable/…
Ticker
Price
Chg %
Rev Growth
Vol Surge
52W High %
Beta
Score
P/E
Signal
Sector
⟳ Loading from FMP /stable/ API…
STRATEGY METHODOLOGY

FMP /stable/ Endpoints Used

  • /stable/quote — real-time price, change%, volume, avgVolume, yearHigh, yearLow, marketCap, P/E
  • /stable/profile — sector, beta, exchange, company description, website
  • /stable/financial-growth — revenueGrowth YoY, EPS growth, gross profit growth
  • /stable/key-metrics — P/E ratio, market cap, enterprise value cross-check

Volume Surge Detection

  • Surge Ratio: current volume ÷ avgVolume from FMP quote. Ratio ≥3× = institutional spike.
  • BREAKOUT: Vol ≥3× AND at ≥85% of 52W high — price coiled, institutions moving.
  • WATCH: Vol ≥2× or at ≥80% of 52W high with elevated volume.
  • BUILDING: Vol ≥1.3× — early accumulation phase forming.

Breakout Score (0–100)

  • Vol Component (40pts): Normalized surge ratio — 3× = 20pts, 6× = 40pts.
  • Fundamental (35pts): Revenue growth rate + positive EPS trend.
  • Base Quality (25pts): % of 52W high + beta compression bonus.
  • Score ≥70 = BREAKOUT candidate. Score 50–69 = WATCH. Below 50 = BUILDING/QUIET.

Entry & Risk Protocol

  • Entry: Break above 52W high with vol surge ≥3× confirmed same session.
  • Stop Loss: 7% below entry — below base midpoint.
  • Target: 18–28% measured move above breakout level.
  • Position Size: Max 1–2% portfolio risk per name.
⚠ DISCLAIMER: Connects to Financial Modeling Prep /stable/ API for live data. For educational purposes only — not financial advice. All investing involves risk of loss.