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IPDN
Professional Diversity Network, Inc.
stock NASDAQ

At Close
Jul 3, 2025 12:59:18 PM EDT
2.42USD-10.185%(-0.28)129,524
0.00Bid   0.00Ask   0.00Spread
Pre-market
Jul 3, 2025 9:28:30 AM EDT
2.77USD+2.593%(+0.07)9,886
After-hours
Jul 3, 2025 4:51:30 PM EDT
2.57USD+5.979%(+0.15)250
OverviewPrice & VolumeSplitsHistoricalExchange VolumeDark Pool LevelsDark Pool PrintsExchangesShort VolumeShort Interest - DailyShort InterestBorrow Fee (CTB)Failure to Deliver (FTD)ShortsTrendsNewsTrends
IPDN Reddit Mentions
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We have sentiment values and mention counts going back to 2017. The complete data set is available via the API.
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IPDN Specific Mentions
As of Jul 5, 2025 3:26:03 AM EDT (1 min. ago)
Includes all comments and posts. Mentions per user per ticker capped at one per hour.
4 days ago • u/Feisty-Career-6737 • r/Daytrading • day_tradescalping_watchlist_07012025 • Strategy • B
Disclaimer: The generation of this watchlist is automated using a combination of python scripts, trusted financial APIs (i.e. Finnhub, Alphavantage, etc). AI Agents, and LLMs (local purpose built and OpenAI's API). Like any other watchlist, a set of criteria was established and matching tickers were identified. Additional data (news, intraday, etc) was collected for the initial list (usually 50 - 60 tickers) which was then formatted and fed to AI to analyze and identify a top 10. There are mechanisms in place to validate data and ensure accuracy (e.g. pull and compare intraday data from 2 sources) however, errors can occur . This is just a watchlist.. Please do your own DD! This is not financial advice.
**Number of Tickers Analyzed:** 50
**Analysis Approach**
• Gap Analysis: Highlighted largest positive and negative post-market gaps to capture volatility.
• Volume Metrics: Selected only symbols with Volume vs Avg ≥150% for high liquidity.
• Technical Range Proximity: Favored stocks trading near 52-week lows (for bounce) or breaking above 52-week highs (for momentum).
• News Sentiment: Incorporated recent bullish or somewhat-bullish news stories as intraday catalysts.
• Insider Activity: Scanned for net insider buys/sells within 7 days — none of the top 10 showed significant insider trades.
• Price Action Consistency: Ensured strong gap move paired with high volume.
**Stock-by-Stock Highlights**
**1. ARBK (9.8)**
– Post-Gap: +76.4%
– Volume vs Avg: 1,782% (massive liquidity)
– Major pre-market breakout candidate
**2. ARTL (9.5)**
– Volume vs Avg: 166,976%
– Broke above 52-week high ($9.30 → $13.27)
– Somewhat-Bullish news on Phase 1 data (06/30)
**3. KLTO (9.2)**
– Volume vs Avg: 1,559%
– Post-Gap: –8.85% near recent lows
– Bounce play with strong liquidity on a small float
**4. PET (9.0)**
– Volume vs Avg: 1,452%
– Post-Gap: –16%
– Trading off 52-week low bounce ($0.07 → $0.23)
**5. IPDN (8.8)**
– Volume vs Avg: 887%
– Post-Gap: –0.9%
– Very liquid microcap, primed for intraday swings
**6. SYTAW (8.5)**
– Volume vs Avg: 851%
– Post-Gap: +2.94% off 52-week low bounce
**7. GNLN (8.3)**
– Volume vs Avg: 738%
– Post-Gap: –10% on heavy turnover
– Near 52-week low ($2.86 → $5.30), mean-reversion setup
**8. JVSA (8.0)**
– Volume vs Avg: 495%
– Post-Gap: +11.3%
– Above 52-week low ($3.12 → $3.64) with fresh momentum
**9. INMB (7.8)**
– Volume vs Avg: 199%
– Post-Gap: –6.5%
– News-driven on Alzheimer’s trial update, near 52-week low ($2.00 → $2.31)
**10. BULLZ (7.5)**
– Volume vs Avg: 183%
– Post-Gap: –26% off 52-week low ($0.42 → $1.87)
– High-volatility bounce candidate
**Catalyst Highlights**
• **ARTL**: Phase 1 study data with no adverse events (06/30)
• **INMB**: Mixed Alzheimer’s trial results and upcoming presentation (06/30)
• **ARBK, JVSA**: Strong pre-market and post-market moves
• No stocks in top 10 have earnings due within 14 days.
**Additional Observations**
• None of the top 10 show meaningful insider buys; heavy insider sells in large-caps (NVDA, SOFI) suggest caution.
• Focus on level-2 order flow and VWAP tests for entries.
• Tight stops are crucial on large-float momentum plays (ARBK, ARTL) to manage rapid reversals.
sentiment 0.95
4 days ago • u/CabinetOk828 • r/DeepFuckingValue • mag_7s_outperformance_is_backhas_the_market_tide • Discussion 🧐 • B
1. Data shows that the index tracking the “MAG 7” tech giants has consistently outperformed the broader S&P 500 since October 31, 2022. By the first half of 2025, it once again cemented its lead—at one point delivering gains of over 140%.
2. Compared to the S&P 500’s communication services and information technology sectors, the MAG 7 has shown greater resilience and stronger momentum, particularly in bouncing back sharply after market pullbacks. This confirms its role as a key driver of market leadership.
3. The return of outperformance suggests that in the current environment, large-cap tech companies—with their robust earnings power, innovation edge, and dominant market share—remain a core force behind the market’s rally and are still worth investors’ attention.
***Source: Yahoo Finance***

Would be focusing on the following tickers for today: BMNR, BGM, NVDA, GME, IPDN
sentiment 0.91
4 days ago • u/Feisty-Career-6737 • r/Daytrading • day_tradescalping_watchlist_07012025 • Strategy • B
Disclaimer: The generation of this watchlist is automated using a combination of python scripts, trusted financial APIs (i.e. Finnhub, Alphavantage, etc). AI Agents, and LLMs (local purpose built and OpenAI's API). Like any other watchlist, a set of criteria was established and matching tickers were identified. Additional data (news, intraday, etc) was collected for the initial list (usually 50 - 60 tickers) which was then formatted and fed to AI to analyze and identify a top 10. There are mechanisms in place to validate data and ensure accuracy (e.g. pull and compare intraday data from 2 sources) however, errors can occur . This is just a watchlist.. Please do your own DD! This is not financial advice.
**Number of Tickers Analyzed:** 50
**Analysis Approach**
• Gap Analysis: Highlighted largest positive and negative post-market gaps to capture volatility.
• Volume Metrics: Selected only symbols with Volume vs Avg ≥150% for high liquidity.
• Technical Range Proximity: Favored stocks trading near 52-week lows (for bounce) or breaking above 52-week highs (for momentum).
• News Sentiment: Incorporated recent bullish or somewhat-bullish news stories as intraday catalysts.
• Insider Activity: Scanned for net insider buys/sells within 7 days — none of the top 10 showed significant insider trades.
• Price Action Consistency: Ensured strong gap move paired with high volume.
**Stock-by-Stock Highlights**
**1. ARBK (9.8)**
– Post-Gap: +76.4%
– Volume vs Avg: 1,782% (massive liquidity)
– Major pre-market breakout candidate
**2. ARTL (9.5)**
– Volume vs Avg: 166,976%
– Broke above 52-week high ($9.30 → $13.27)
– Somewhat-Bullish news on Phase 1 data (06/30)
**3. KLTO (9.2)**
– Volume vs Avg: 1,559%
– Post-Gap: –8.85% near recent lows
– Bounce play with strong liquidity on a small float
**4. PET (9.0)**
– Volume vs Avg: 1,452%
– Post-Gap: –16%
– Trading off 52-week low bounce ($0.07 → $0.23)
**5. IPDN (8.8)**
– Volume vs Avg: 887%
– Post-Gap: –0.9%
– Very liquid microcap, primed for intraday swings
**6. SYTAW (8.5)**
– Volume vs Avg: 851%
– Post-Gap: +2.94% off 52-week low bounce
**7. GNLN (8.3)**
– Volume vs Avg: 738%
– Post-Gap: –10% on heavy turnover
– Near 52-week low ($2.86 → $5.30), mean-reversion setup
**8. JVSA (8.0)**
– Volume vs Avg: 495%
– Post-Gap: +11.3%
– Above 52-week low ($3.12 → $3.64) with fresh momentum
**9. INMB (7.8)**
– Volume vs Avg: 199%
– Post-Gap: –6.5%
– News-driven on Alzheimer’s trial update, near 52-week low ($2.00 → $2.31)
**10. BULLZ (7.5)**
– Volume vs Avg: 183%
– Post-Gap: –26% off 52-week low ($0.42 → $1.87)
– High-volatility bounce candidate
**Catalyst Highlights**
• **ARTL**: Phase 1 study data with no adverse events (06/30)
• **INMB**: Mixed Alzheimer’s trial results and upcoming presentation (06/30)
• **ARBK, JVSA**: Strong pre-market and post-market moves
• No stocks in top 10 have earnings due within 14 days.
**Additional Observations**
• None of the top 10 show meaningful insider buys; heavy insider sells in large-caps (NVDA, SOFI) suggest caution.
• Focus on level-2 order flow and VWAP tests for entries.
• Tight stops are crucial on large-float momentum plays (ARBK, ARTL) to manage rapid reversals.
sentiment 0.95
4 days ago • u/CabinetOk828 • r/DeepFuckingValue • mag_7s_outperformance_is_backhas_the_market_tide • Discussion 🧐 • B
1. Data shows that the index tracking the “MAG 7” tech giants has consistently outperformed the broader S&P 500 since October 31, 2022. By the first half of 2025, it once again cemented its lead—at one point delivering gains of over 140%.
2. Compared to the S&P 500’s communication services and information technology sectors, the MAG 7 has shown greater resilience and stronger momentum, particularly in bouncing back sharply after market pullbacks. This confirms its role as a key driver of market leadership.
3. The return of outperformance suggests that in the current environment, large-cap tech companies—with their robust earnings power, innovation edge, and dominant market share—remain a core force behind the market’s rally and are still worth investors’ attention.
***Source: Yahoo Finance***

Would be focusing on the following tickers for today: BMNR, BGM, NVDA, GME, IPDN
sentiment 0.91


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