As of 2026-08-25, Hovnanian Enterprises, Inc. Class A (HOV) has a 3-month relative strength percentile of 75 within the TickerStance CS+ADRC universe (~5,000 tickers). Its Power rating (absolute 1–99) is 51. The current market Stance is 52.9 (Neutral). Sector: Industrials, ranked 6 of 11. Average daily range 5.7%, relative volume 0.75×. TickerStance reports observed regime conditions across the full CS+ADRC universe; band assignment reflects current breadth, momentum, and macro inputs computed at the daily close. Percentile ranks run from 1 (weakest) to 99 (strongest) relative to all universe members on the same date.
HOV is in a stage 1 base, week 1. Extended from base. VCP detected: inconclusive. Distance from 50d / 200d: -2.9% / 8.3%.
Relative strength across horizons plus the leadership score.
Accumulation rating, relative volume, U/D ratio, breakout-day proof.
Diluted EPS, last 8 quarters. Positive EPS uses YoY change.
HOV is held by 23 ETFs as of May 2026. Top owner: AVUV at 0.05% weight, $14M notional. Top 3 carry $21M.
Held by 59 ETFs · $107M across latest filings · largest weight 0.93% (DEEP).
Top 10 by value, from SEC N-PORT-P filings dated May 2026.
| ETF | Weight | Value | Δ |
|---|---|---|---|
| AVUVAvantis U.S. Small Cap Value ETF | 0.05% | $14M | — |
| FNDA | 0.05% | $4M | — |
| VTWO | 0.02% | $3M | — |
| SCHASchwab U.S. Small-Cap ETF | 0.01% | $3M | — |
| VCRVanguard Consumer Discretionary ETF | 0.03% | $2M |
Strong relative strength, but attention is quiet relative to this name’s own recent norm. Academic work links low public attention to better forward returns on average — context to weigh, not a forecast.
Measures how unusual this name’s public attention is against its own 90-day history — a surprise reading, not a ranking of how watched it is versus other stocks. Intel, not a signal.
Daily range, ATR, beta, and the math for a 1-ADR stop.
YoY sales growth, last 8 quarters. Sales must back the earnings story.
TTM operating margin. Expansion = real operating leverage.
YoY diluted average shares. Down = buyback tailwind. Up > 2% = dilution flag.
Reported figures from SEC filings. No analyst estimates or forward guidance.
| — |
| VFVA | 0.18% | $1M | +0.12 pp |
| AVSC | 0.03% | $843K | −0.01 pp |
| VTWV | 0.03% | $420K | — |
| GSSC | 0.04% | $397K | — |
| SCHBSchwab U.S. Broad Market ETF | 0.00% | $353K | new |
Showing 10 of 23 ETF owners.
As filed in N-PORT — quarterly holdings with up to ~60-day publication lag. Not live positioning.
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| Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 1 | HOV Jan avg: 15.14% median: 12.04% win: 75% σ: 16.41% n: 4 2022-04-12 → 2026-07-31 | HOV Feb avg: -0.32% median: 2.11% win: 50% σ: 18.57% n: 4 2022-04-12 → 2026-07-31 | HOV Mar avg: -2.25% median: -0.11% win: 50% σ: 6.48% n: 4 2022-04-12 → 2026-07-31 | HOV Apr avg: -3.22% median: -5.80% win: 40% σ: 8.41% n: 5 2022-04-12 → 2026-07-31 | HOV May avg: 2.74% median: -1.85% win: 40% σ: 9.16% n: 5 2022-04-12 → 2026-07-31 | HOV Jun avg: 9.06% median: 15.81% win: 60% σ: 17.91% n: 5 2022-04-12 → 2026-07-31 | HOV Jul avg: 14.00% median: 13.37% win: 80% σ: 21.91% n: 5 2022-04-12 → 2026-07-31 | HOV Aug avg: 3.65% median: 7.24% win: 75% σ: 15.21% n: 4 2022-04-12 → 2026-07-31 (current) | HOV Sep avg: -9.84% median: -9.70% win: 0% σ: 3.81% n: 4 2022-04-12 → 2026-07-31 | HOV Oct avg: -9.74% median: -10.14% win: 25% σ: 18.47% n: 4 2022-04-12 → 2026-07-31 | HOV Nov avg: 17.57% median: 15.36% win: 100% σ: 9.31% n: 4 2022-04-12 → 2026-07-31 | HOV Dec avg: 0.50% median: -19.11% win: 25% σ: 48.46% n: 4 2022-04-12 → 2026-07-31 |