What Moves Like TMDX

TransMedics Group, Inc. Electromedical & Electrotherapeutic Apparatus · Nasdaq

The tradable tickers whose daily moves track TMDX most closely over the past year, filtered to risk comparable with TMDX's own.

Closest match

AZTA Azenta, Inc. — 0.410 correlation over the past year, and about as volatile as TMDX.

About TMDX

Annualised volatility 57.5%
Beta vs SPY 1.23
Market correlation 0.276
Traded per day $82.6M
Rate sensitivity -0.07
Volatility sensitivity -0.27

As filed with the SEC twelve months to 2025-12-31 · balance sheet 2026-03-31

Revenue $605.5M
Operating income $108.6M
Net income $190.3M
Diluted EPS $4.87
Total assets $1.43B
Total liabilities $940.8M
Shareholders' equity $494.0M
Shares outstanding 34.5M
252 sessions to 2026-09-10 · TMDX volatility 57.5% annualised · $82.6M a day
Ticker 1-year correlation 3-year Volatility vs TMDX Risk What it is
AZTA Azenta, Inc.
0.410
0.269 1.07× similar Special Industry Machinery, Nec
ATEC Alphatec Holdings, Inc.
0.404
0.243 1.19× 19% choppier Surgical & Medical Instruments & Apparatus
PRIM Primoris Services Corporation
0.372
0.209 1.38× 38% choppier Water, Sewer, Pipeline, Comm & Power Line Construction
PODD Insulet Corporation
0.359
0.305 0.78× 23% calmer Surgical & Medical Instruments & Apparatus
HNI HNI Corporation
0.353
0.223 0.63× 37% calmer Office Furniture (No Wood)
TECH Bio-Techne Corp
0.353
0.305 0.80× 20% calmer Biological Products, (No Diagnostic Substances)
ASTE Astec Industries, Inc.
0.333
0.150 0.75× 26% calmer Construction Machinery & Equip
RVLV Revolve Group, Inc. Class A
0.328
0.187 0.88× 12% calmer Retail-Catalog & Mail-Order Houses
ANGI Angi Inc.
0.321
0.181 1.39× 39% choppier Services-Advertising
ARLO Arlo Technologies, Inc.
0.319
0.252 0.91× similar Services-Detective, Guard & Armored Car Services
ISRG Intuitive Surgical, Inc.
0.319
0.260 0.64× 36% calmer Orthopedic, Prosthetic & Surgical Appliances & Supplies
UPST Upstart Holdings, Inc.
0.316
0.196 1.14× 14% choppier Finance Services
HCKT The Hackett Group, Inc.
0.315
0.198 0.90× similar Services-Management Consulting Services
ARKG ARK Genomic Revolution ETF
0.314
0.352 0.78× 22% calmer Fund
XYZ Block, Inc. Class A Common Stock
0.309
0.283 0.82× 18% calmer Services-Prepackaged Software
ATRC AtriCure, Inc.
0.302
0.214 0.82× 19% calmer Surgical & Medical Instruments & Apparatus

Showing 16 of 16 tickers that qualified. Correlation is of daily returns; 1.000 would mean moving in lockstep, 0.000 no relationship at all.

What this is for

Three questions, one number behind all of them.

How to read the two correlation columns

The one-year figure is what the relationship looks like now. The three-year figure is what it has looked like over a longer stretch. Comparing them is the point: when they agree, the relationship is structural and likely to hold. When the one-year number is far below the three-year one, something has changed — a shift in business mix, an index reconstitution, a sector that has stopped moving together — and the recent figure is the one to trust less, not more.

Correlation measures whether two things move together, not whether they move by the same amount. That is why the volatility column is there. Two tickers can correlate at 0.99 while one swings half again as hard, and swapping one for the other would quietly change how much risk you are carrying.

What was deliberately left out

Ranking purely by correlation produces answers that are mathematically perfect and practically useless. The closest matches to AAPL by raw correlation are leveraged AAPL funds at 0.999 — correct, and not replacements for anything. Four filters run before a ticker is allowed to appear:

Where all of that leaves a ticker with no close match, the page says so. A stock with no substitute is a real and useful finding, and inventing a loose one to fill the table would be worse than an empty answer.

Limits, stated up front

Where the numbers come from

Correlations are computed in-house from a daily price history and rebuilt every night. What gets published is the derived statistic — a correlation coefficient, a volatility ratio, an observation count — and nothing from which a price or return series could be reconstructed. The rest of the Markets section is on the Markets overview, including futures positioning extremes and SEC Form 4 insider transactions.