United States: Monthly Stock Market Performance Insight - March 2021

Monthly Gainers
2,405
Monthly Losers
1,866
Average Return
6.53%
Total Stocks
4,396
View Detailed Market Cap Breakdown
Market Cap Monthly Gainers Monthly Losers Average Return Total Stocks
Mega Cap 33 13 3.66% 46
Large Cap 507 152 4.44% 664
Mid Cap 558 281 2.88% 848
Small Cap 238 179 0.83% 426

Monthly Streak Leaders for March 2021

Stock Streak Streak Return
6 months โ†‘ 56.74%

JPMorgan Chase maintains strong momentum with a 6-month winning streak (97.12 โ†’ 152.23), delivering 56.7% gains. With 45.3B revenue generating only 14.6B profit (32.3% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

5 months โ†‘ 68.47%

Exxon Mobil shows promise with a 5-month winning streak (33.14 โ†’ 55.83), delivering 68.5% gains. Financial performance remains steady with 81.1B revenue yielding 8.0B profit (Qtr ending Mar 2025). The 9.9% margin suggests room for growth as operations scale.

4 months โ†“ -14.91%

Advanced Micro takes a breather following a 4-month decline (92.25 โ†’ 78.50), down 14.9%. Weak margins on 7.4B revenue with only 709.0M profit (9.5% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

3 months โ†“ -10.20%

ServiceNow consolidates with a 3-month decline (556.94 โ†’ 500.11), down 10.2%. Weak margins on 3.1B revenue with only 460.0M profit (14.9% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

12 months โ†‘ 248.49%

On Semiconductor continues its remarkable run with a 12-month winning streak (11.94 โ†’ 41.61), delivering 248.5% gains. Despite 1.4B in revenue and - 485.2M loss (-33.6% margin) as of Qtr ending Mar 2025, the market sees potential beyond current profitability. This momentum suggests confidence in future execution.

12 months โ†‘ 237.89%

Ally Financial dominates the market with an impressive a 12-month winning streak (13.38 โ†’ 45.21), delivering 237.9% gains. Despite 1.8B in revenue and - 225.0M loss (-12.8% margin) as of Qtr ending Mar 2025, the market sees potential beyond current profitability. This momentum suggests confidence in future execution.

4 months โ†“ -31.96%

Kinsale Capital pulls back after a 4-month decline (242.20 โ†’ 164.80), down 32.0%. Weak margins on 423.4M revenue with only 89.2M profit (21.1% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

4 months โ†“ -28.71%

Snowflake pulls back after a 4-month decline (321.63 โ†’ 229.28), down 28.7%. Financial struggles compound the decline: despite 1.0B revenue, - 430.0M losses persist (-41.3% margin) as of Qtr ending Apr 2025. Until profitability improves, caution remains warranted.

12 months โ†‘ 298.59%

Darling Ingredients is on fire with an unstoppable a 12-month winning streak (18.46 โ†’ 73.58), delivering 298.6% gains. Despite 1.4B in revenue and - 23.8M loss (-1.7% margin) as of Qtr ending Mar 2025, the market sees potential beyond current profitability. This momentum suggests confidence in future execution.

12 months โ†‘ 274.35%

Group 1 Automotive dominates the market with an impressive a 12-month winning streak (42.15 โ†’ 157.79), delivering 274.4% gains. With 5.5B revenue generating only 128.1M profit (2.3% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

6 months โ†“ -60.26%

PCVX faces significant headwinds with 6 consecutive negative months, down 60.26%.

6 months โ†“ -48.41%

Jfrog sees continued selling pressure through a 6-month decline (86.01 โ†’ 44.37), down 48.4%. Financial struggles compound the decline: despite 122.4M revenue, - 18.5M losses persist (-15.1% margin) as of Qtr ending Mar 2025. Until profitability improves, caution remains warranted.

9 months โ†‘ 219.27%

Triumph Financial shows consistent strength with a 9-month winning streak (24.24 โ†’ 77.39), delivering 219.3% gains. With 101.6M revenue generating only 17,000 profit (0.0% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

9 months โ†‘ 59.72%

Huntsman builds on success with a 9-month winning streak (18.05 โ†’ 28.83), delivering 59.7% gains. With 1.4B revenue generating only 11.0M profit (0.8% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

4 months โ†“ -67.98%

ELVN under pressure with 4 straight negative months, declining 67.98%.

4 months โ†“ -29.93%

Array Technologies consolidates with a 4-month decline (42.56 โ†’ 29.82), down 29.9%. Revenue of 302.4M provides a foundation, but 16.7M net income (5.5% margin) in Qtr ending Mar 2025 highlights operational challenges that need addressing.

United States Market Monthly Gainers & Losers: March 2021

Top United States Stock Gainers (March 2021)

Stock Month Open Month Close Monthly Change Avg Daily Volume Month Volume
$258.81 $305.25 18.16% 5.6M 124.2M
$45.22 $51.71 15.24% 26.4M 580.0M
$247.43 $280.14 14.68% 2.0M 44.9M
$260.82 $294.53 14.33% 22.6M 497.4M
$115.06 $127.40 12.05% 6.1M 133.9M
$26.14 $47.46 86.63% 123.6M 2.7B
$17.00 $26.17 57.56% 24.7M 542.5M
$66.91 $89.60 36.50% 4.0M 88.7M
$61.30 $80.27 34.19% 3.6M 79.6M
$51.45 $66.79 31.76% 5.0M 109.8M
$66.78 $128.86 96.31% 4.1M 90.7M
$7.63 $12.02 62.65% 260.3K 5.7M
$34.22 $48.02 59.27% 20.4M 449.1M
$12.73 $19.16 54.27% 406.6K 8.9M
$14.00 $20.11 50.75% 20.5M 451.0M
$11.24 $16.52 53.39% 4.7M 103.0M
$17.31 $23.56 36.98% 436.0K 9.6M
$110.62 $149.31 36.67% 386.1K 8.5M
$56.96 $74.64 35.29% 60.0K 1.3M
$70.50 $76.82 32.75% 168.0K 3.7M

Biggest United States Stock Losers (March 2021)

Stock Month Open Month Close Monthly Change Avg Daily Volume Month Volume
$205.78 $186.82 -8.82% 4.4M 96.1M
$85.37 $78.50 -7.11% 45.8M 1.0B
$544.82 $500.11 -6.25% 1.9M 41.0M
$41.08 $39.21 -4.44% 5.1M 112.5M
$545.57 $521.66 -3.19% 4.1M 90.2M
$391.03 $267.43 -30.71% 1.2M 26.5M
$14.61 $10.77 -25.57% 1.3M 28.6M
$95.50 $70.72 -24.01% 3.0M 65.1M
$175.00 $131.38 -22.64% 980.9K 21.6M
$171.44 $131.13 -22.63% 4.3M 94.5M
$36.90 $18.90 -47.72% 272.1K 6.0M
$49.34 $25.80 -47.31% 3.7M 81.7M
$116.19 $65.91 -41.39% 5.7M 125.7M
$18.42 $10.36 -40.83% 16.5M 363.6M
$64.80 $45.10 -30.07% 56.2M 1.2B
$13.32 $6.05 -50.77% 297.8K 6.6M
$2.00 $0.90 -45.78% 13.5K 296.1K
$9.49 $5.61 -40.38% 1.4M 30.2M
$37.25 $22.12 -37.34% 14.6M 320.6M
$137.30 $85.00 -37.13% 165.2K 3.6M

Most Active United States Stocks During March 2021

Stock Month Open Month Close Monthly Change Avg Daily Volume Monthly Volume
$13.88 $13.35 -2.63% 347.7M 7.6B
$48.55 $38.98 -14.85% 129.7M 2.9B
$230.04 $222.64 -1.12% 128.5M 2.8B
$26.14 $47.46 86.63% 123.6M 2.7B
$123.75 $122.15 0.73% 120.5M 2.7B
$25.19 $23.29 -2.55% 82.0M 1.8B
$11.87 $12.25 4.70% 76.5M 1.7B
$156.39 $154.70 0.03% 71.1M 1.6B
$64.80 $45.10 -30.07% 56.2M 1.2B
$21.75 $23.90 14.14% 49.0M 1.1B
$27.55 $26.54 -0.79% 48.1M 1.1B
$23.00 $23.09 5.68% 46.6M 1.0B
$53.00 $35.84 -25.92% 37.1M 817.1M
$61.72 $64.00 5.30% 35.0M 770.8M
$32.49 $23.18 -24.62% 32.6M 718.0M
$3.60 $3.55 2.31% 28.4M 624.6M
$1.10 $1.09 3.81% 27.9M 613.3M
$37.25 $22.12 -37.34% 14.6M 320.6M
$9.97 $7.56 -19.57% 14.4M 316.0M
$88.60 $102.10 27.47% 11.2M 247.4M

United States Sector Performance During March 2021

Communication Services

49.74%
199 stocks
Top Performers by Market Cap:
Mega Cap: META +14.33%
Large Cap: FOX +9.40%
Mid Cap: TDS +28.34%
Small Cap: AMC +27.47%

Utilities

29.49%
83 stocks
Top Performers by Market Cap:
Large Cap: LNT +17.33%
Mid Cap: AVA +18.75%
Small Cap: HE +27.09%

Basic Materials

17.65%
227 stocks
Top Performers by Market Cap:
Mega Cap: LIN +14.68%
Large Cap: X +57.56%
Small Cap: CENX +28.62%

Consumer Cyclical

12.21%
463 stocks
Top Performers by Market Cap:
Mega Cap: HD +18.16%
Large Cap: GME +86.63%
Mid Cap: OI +26.20%
Small Cap: LGIH +36.67%

Industrials

11.14%
537 stocks
Top Performers by Market Cap:
Mega Cap: GE +4.70%
Large Cap: AER +21.92%
Small Cap: NMM +36.98%

Financial Services

6.42%
714 stocks
Top Performers by Market Cap:
Mega Cap: BAC +11.47%
Large Cap: HIG +31.76%
Small Cap: LC +53.39%

Consumer Defensive

2.44%
184 stocks
Top Performers by Market Cap:
Mega Cap: PG +9.63%
Large Cap: SFM +26.10%
Small Cap: EPC +29.45%

Real Estate

1.78%
233 stocks
Top Performers by Market Cap:
Large Cap: AMT +10.61%
Mid Cap: COLD +9.79%
Small Cap: AIV +28.99%

Energy

1.51%
179 stocks
Top Performers by Market Cap:
Mega Cap: CVX +4.79%
Large Cap: OKE +14.38%
Mid Cap: UEC +34.91%
Small Cap: VET +15.74%

Technology

-2.09%
585 stocks
Top Performers by Market Cap:
Mega Cap: CSCO +15.24%
Large Cap: SNX +28.80%
Mid Cap: BOX +25.12%
Small Cap: UCTT +25.14%

Healthcare

-3.93%
905 stocks
Top Performers by Market Cap:
Mega Cap: UNH +12.00%
Large Cap: ELV +18.39%
Small Cap: ANIP +24.19%

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