United States Market Monthly Performance for September 2020

Monthly Gainers
1,277
Monthly Losers
2,638
Average Return
8.81%
Total Stocks
4,033
View Detailed Market Cap Breakdown
Market CapMonthly GainersMonthly LosersAverage ReturnTotal Stocks
Mega Cap 8 37 -4.47% 46
Large Cap 215 433 -2.21% 651
Mid Cap 215 577 -4.03% 808
Small Cap 112 270 -3.71% 390

Monthly Streak Leaders for September 2020

Stock Streak Streak Return
6 months โ†‘ 111.74%

Nvidia shows consistent strength with a 6-month winning streak (6.39 โ†’ 13.53), delivering 111.7% gains. The financials tell a compelling story: 44.1B revenue generating 18.8B net profit (42.6% margin) demonstrates exceptional profit margins as of Qtr ending Apr 2025.

6 months โ†‘ 76.76%

ServiceNow builds on success with a 6-month winning streak (274.39 โ†’ 485.00), delivering 76.8% gains. With 3.1B revenue generating only 460.0M profit (14.9% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

5 months โ†“ -24.76%

Exxon Mobil navigates difficult waters with a 5-month decline (45.63 โ†’ 34.33), down 24.8%. The 81.1B revenue base faces margin compression with profits at 8.0B (Qtr ending Mar 2025). Market concerns about profitability appear justified as competition intensifies.

5 months โ†“ -21.32%

Chevron encounters challenges with a 5-month decline (91.51 โ†’ 72.00), down 21.3%. Weak margins on 46.1B revenue with only 3.5B profit (7.6% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

7 months โ†‘ 83.80%

Marvell Technology maintains strong momentum with a 7-month winning streak (21.60 โ†’ 39.70), delivering 83.8% gains. With 1.9B revenue generating only 177.9M profit (9.4% margin) in Qtr ending Apr 2025, the market prices in future margin expansion potential.

7 months โ†‘ 81.02%

United Parcel builds on success with a 7-month winning streak (92.05 โ†’ 166.63), delivering 81.0% gains. With 21.5B revenue generating only 1.2B profit (5.5% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

5 months โ†“ -41.75%

Permian Resources navigates difficult waters with a 5-month decline (1.03 โ†’ 0.60), down 41.7%. However, fundamentals remain robust: 1.4B revenue generating 390.6M profit (28.4% margin) as of Qtr ending Mar 2025 suggests this could be a temporary setback. Value hunters take note.

5 months โ†“ -28.47%

Diamondback Energy encounters challenges with a 5-month decline (42.11 โ†’ 30.12), down 28.5%. However, fundamentals remain robust: 4.0B revenue generating 1.5B profit (37.0% margin) as of Qtr ending Mar 2025 suggests this could be a temporary setback. Value hunters take note.

9 months โ†‘ 96.19%

Five shows consistent strength with a 9-month winning streak (66.10 โ†’ 129.68), delivering 96.2% gains. With 279.7M revenue generating only 576,000 profit (0.2% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

6 months โ†‘ 923.77%

Cleanspark maintains strong momentum with a 6-month winning streak (1.22 โ†’ 12.49), delivering 923.8% gains. Despite 181.7M in revenue and - 138.8M loss (-76.4% margin) as of Qtr ending Mar 2025, the market sees potential beyond current profitability. This momentum suggests confidence in future execution.

10 months โ†“ -39.43%

Walgreens Boots experiences extended pressure with a 10-month decline (59.30 โ†’ 35.92), down 39.4%. Financial struggles compound the decline: despite 39.0B revenue, - 196.0M losses persist (-0.5% margin) as of Qtr ending May 2025. Until profitability improves, caution remains warranted.

8 months โ†“ -37.07%

Spire faces persistent headwinds with a 8-month decline (84.54 โ†’ 53.20), down 37.1%. However, fundamentals remain robust: 1.1B revenue generating 209.3M profit (19.9% margin) as of Qtr ending Mar 2025 suggests this could be a temporary setback. Value hunters take note.

6 months โ†‘ 707.02%

Sunrun maintains strong momentum with a 6-month winning streak (9.55 โ†’ 77.07), delivering 707.0% gains. Despite 504.3M in revenue and - 277.2M loss (-55.0% margin) as of Qtr ending Mar 2025, the market sees potential beyond current profitability. This momentum suggests confidence in future execution.

6 months โ†‘ 222.18%

Liberty Energy builds on success with a 6-month winning streak (2.48 โ†’ 7.99), delivering 222.2% gains. With 977.5M revenue generating only 20.1M profit (2.1% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

5 months โ†“ -30.93%

Interface sees continued selling pressure through a 5-month decline (8.86 โ†’ 6.12), down 30.9%. Weak margins on 297.4M revenue with only 13.0M profit (4.4% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

5 months โ†“ -28.68%

Northwest Natural encounters challenges with a 5-month decline (63.64 โ†’ 45.39), down 28.7%. However, fundamentals remain robust: 494.3M revenue generating 87.9M profit (17.8% margin) as of Qtr ending Mar 2025 suggests this could be a temporary setback. Value hunters take note.

United States Market Monthly Gainers & Losers: September 2020

Top United States Stock Gainers (September 2020)

StockMonth OpenMonth CloseMonthly ChangeAvg Daily VolumeMonth Volume
$35.00 $36.43 4.93% 23.58M 518.81M
$57.37 $59.70 4.33% 19.39M 426.65M
$210.84 $219.49 2.80% 2.86M 63.01M
$345.71 $355.00 2.11% 2.66M 58.59M
$13.48 $13.53 1.20% 720.75M 15.86B
$35.40 $58.84 66.40% 25.79M 567.42M
$1.83 $2.55 52.69% 46.33M 1.02B
$439.51 $470.11 44.60% 15.45M 339.87M
$18.30 $25.66 40.83% 4.06M 89.27M
$75.93 $101.95 35.41% 2.44M 53.75M
$1.30 $2.98 124.06% 1.52M 33.54M
$9.92 $16.75 69.19% 8.65M 190.25M
$20.83 $34.91 68.73% 3.65M 80.26M
$53.31 $72.70 42.27% 11.64M 256.15M
$12.76 $17.41 37.09% 6.58M 144.71M
$5.42 $10.70 97.42% 160.01K 3.52M
$6.20 $9.24 79.77% 12.90M 283.84M
$2.10 $3.09 47.14% 155.51K 3.42M
$5.00 $7.34 45.35% 169.30K 3.72M
$56.30 $77.07 36.26% 4.68M 102.99M

Biggest United States Stock Losers (September 2020)

StockMonth OpenMonth CloseMonthly ChangeAvg Daily VolumeMonth Volume
$29.20 $25.17 -15.20% 7.17M 157.76M
$83.26 $72.00 -14.21% 11.66M 256.45M
$39.75 $34.33 -14.05% 26.85M 590.80M
$167.38 $143.00 -13.91% 236.77M 5.21B
$294.71 $261.90 -10.68% 22.69M 499.12M
$57.33 $39.69 -30.09% 3.72M 81.73M
$28.20 $19.93 -28.82% 15.16M 333.47M
$16.37 $11.96 -27.21% 477.78K 10.51M
$11.15 $8.16 -26.35% 4.99M 109.71M
$15.93 $12.05 -25.53% 13.37M 294.18M
$0.03 $0.02 -90.00% 2.07M 45.45M
$0.55 $0.28 -50.00% 26.48M 582.65M
$10.55 $6.06 -41.45% 2.89M 63.69M
$14.67 $9.47 -36.01% 10.19M 224.28M
$13.75 $8.92 -35.08% 6.03M 132.62M
$3.96 $2.34 -40.91% 1.24M 27.26M
$7.25 $4.54 -37.55% 1.69M 37.25M
$31.54 $20.40 -35.91% 1.64M 36.18M
$73.60 $49.30 -33.47% 90.66K 1.99M
$38.85 $25.66 -33.35% 277.13K 6.10M

Most Active United States Stocks During September 2020

StockMonth OpenMonth CloseMonthly ChangeAvg Daily VolumeMonthly Volume
$13.48 $13.53 1.20% 720.75M 15.86B
$167.38 $143.00 -13.91% 236.77M 5.21B
$132.76 $115.81 -10.25% 176.60M 3.89B
$174.48 $157.44 -8.76% 105.36M 2.32B
$19.45 $21.22 11.51% 89.00M 1.96B
$25.58 $24.09 -6.41% 58.68M 1.29B
$6.77 $6.66 -2.35% 58.42M 1.29B
$12.86 $12.29 -5.82% 54.52M 1.20B
$1.83 $2.55 52.69% 46.33M 1.02B
$16.09 $15.18 -7.89% 39.69M 873.27M
$78.39 $99.24 29.44% 37.40M 822.83M
$50.91 $51.78 1.63% 30.93M 680.43M
$50.88 $43.11 -15.67% 28.85M 634.63M
$16.75 $17.11 0.00% 27.77M 611.05M
$1.23 $0.81 -33.61% 27.62M 607.54M
$13.05 $13.41 3.31% 22.30M 490.62M
$6.20 $9.24 79.77% 12.90M 283.84M
$4.76 $4.50 -6.25% 11.93M 262.37M
$3.18 $3.69 13.89% 10.42M 229.13M
$6.94 $6.51 -6.87% 8.60M 189.20M

United States Sector Performance During September 2020

Technology

87.23%
531 stocks
Top Performers by Market Cap:
Mega Cap: AVGO +4.93%
Large Cap: ZM +44.60%
Small Cap: INOD +47.14%

Consumer Cyclical

0.37%
428 stocks
Top Performers by Market Cap:
Mega Cap: MCD +2.80%
Large Cap: DKNG +66.40%
Mid Cap: QS +69.19%
Small Cap: GOOS +31.36%

Basic Materials

-1.47%
211 stocks
Top Performers by Market Cap:
Mega Cap: LIN -4.65%
Large Cap: TECK +20.83%
Mid Cap: HCC +10.41%
Small Cap: NG +12.28%

Utilities

-1.54%
76 stocks
Top Performers by Market Cap:
Large Cap: DUK +10.23%
Small Cap: SJW -2.67%

Healthcare

-1.68%
800 stocks
Top Performers by Market Cap:
Mega Cap: UNH -0.25%
Large Cap: ITCI +40.83%
Small Cap: BLFS +35.74%

Industrials

-1.69%
500 stocks
Top Performers by Market Cap:
Mega Cap: GE -1.74%
Large Cap: GFL +16.49%
Mid Cap: BE +14.75%
Small Cap: LMB +97.42%

Real Estate

-2.48%
223 stocks
Top Performers by Market Cap:
Large Cap: BEKE +19.52%
Mid Cap: EPRT +7.96%
Small Cap: CCS +18.64%

Financial Services

-3.79%
681 stocks
Top Performers by Market Cap:
Mega Cap: AXP -1.32%
Large Cap: ALLY +9.57%
Small Cap: LOB +14.20%

Consumer Defensive

-5.39%
170 stocks
Top Performers by Market Cap:
Mega Cap: COST +2.11%
Large Cap: CELH +17.00%
Mid Cap: DAR +12.70%
Small Cap: ANDE +8.12%

Communication Services

-6.20%
173 stocks
Top Performers by Market Cap:
Mega Cap: TMUS -1.99%
Large Cap: ZG +19.07%
Small Cap: GOGO +79.77%

Energy

-14.29%
173 stocks
Top Performers by Market Cap:
Mega Cap: XOM -14.05%
Large Cap: WMB -5.35%
Small Cap: LBRT +23.88%

Data is updated regularly. Monthly performance is calculated based on closing prices.