United States Market Monthly Performance for February 2024

Monthly Gainers
3,041
Monthly Losers
2,301
Average Return
7.55%
Total Stocks
5,542
View Detailed Market Cap Breakdown
Market CapMonthly GainersMonthly LosersAverage ReturnTotal Stocks
Mega Cap 37 10 6.87% 47
Large Cap 498 200 5.50% 702
Mid Cap 590 360 5.33% 956
Small Cap 274 217 7.21% 493

Monthly Streak Leaders for February 2024

Stock Streak Streak Return
6 months โ†‘ 63.72%

Meta Platforms shows consistent strength with a 6-month winning streak (299.37 โ†’ 490.13), delivering 63.7% gains. The financials tell a compelling story: 48.4B revenue generating 20.8B net profit (43.1% margin) demonstrates exceptional profit margins as of Qtr ending Dec 2024.

6 months โ†‘ 19.14%

T-Mobile US maintains strong momentum with a 6-month winning streak (137.06 โ†’ 163.30), delivering 19.1% gains. Backed by solid fundamentals: 20.9B revenue and 3.0B net income (Qtr ending Mar 2025) showcase strong pricing power that's catching investors' attention.

3 months โ†“ -10.32%

UnitedHealth pulls back after a 3-month decline (550.42 โ†’ 493.60), down 10.3%. Weak margins on 109.6B revenue with only 6.5B profit (5.9% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

2 months โ†“ -7.14%

Morgan Stanley takes a breather following a 2-month decline (92.66 โ†’ 86.04), down 7.1%. Weak margins on 16.5B revenue with only 4.4B profit (26.5% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

8 months โ†‘ 125.73%

Nutanix maintains strong momentum with a 8-month winning streak (27.98 โ†’ 63.16), delivering 125.7% gains. With 639.0M revenue generating only 63.4M profit (9.9% margin) in Qtr ending Apr 2025, the market prices in future margin expansion potential.

8 months โ†‘ 120.24%

CrowdStrike Holdings shows consistent strength with a 8-month winning streak (147.18 โ†’ 324.15), delivering 120.2% gains. Despite 1.1B in revenue and - 111.0M loss (-10.1% margin) as of Qtr ending Apr 2025, the market sees potential beyond current profitability. This momentum suggests confidence in future execution.

11 months โ†“ -34.73%

Pfizer experiences extended pressure with a 11-month decline (40.69 โ†’ 26.56), down 34.7%. However, fundamentals remain robust: 13.7B revenue generating 3.0B profit (21.7% margin) as of Qtr ending Mar 2025 suggests this could be a temporary setback. Value hunters take note.

6 months โ†“ -35.14%

Liberty Broadband sees continued selling pressure through a 6-month decline (92.74 โ†’ 60.15), down 35.1%. Weak margins on 266.0M revenue with only 268.0M profit (100.8% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

10 months โ†‘ 441.82%

Abercrombie & Fitch dominates the market with an impressive a 10-month winning streak (23.58 โ†’ 127.76), delivering 441.8% gains. With 1.1B revenue generating only 81.7M profit (7.4% margin) in Qtr ending Apr 2025, the market prices in future margin expansion potential.

7 months โ†‘ 64.66%

Construction maintains strong momentum with a 7-month winning streak (29.20 โ†’ 48.08), delivering 64.7% gains. With 571.6M revenue generating only 4.2M profit (0.7% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

6 months โ†“ -33.12%

Apa sees continued selling pressure through a 6-month decline (44.54 โ†’ 29.79), down 33.1%. However, fundamentals remain robust: 2.6B revenue generating 418.0M profit (15.9% margin) as of Qtr ending Mar 2025 suggests this could be a temporary setback. Value hunters take note.

4 months โ†“ -69.02%

Ssr Mining pulls back after a 4-month decline (13.88 โ†’ 4.30), down 69.0%. However, fundamentals remain robust: 316.6M revenue generating 54.4M profit (17.2% margin) as of Qtr ending Mar 2025 suggests this could be a temporary setback. Value hunters take note.

10 months โ†‘ 32.49%

FSCO has shown exceptional momentum with 10 consecutive positive months, delivering 32.49% returns.

9 months โ†‘ 133.18%

Universal Technical shows consistent strength with a 9-month winning streak (6.45 โ†’ 15.04), delivering 133.2% gains. With 207.4M revenue generating only 11.4M profit (5.5% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

8 months โ†“ -60.18%

Cricut faces persistent headwinds with a 8-month decline (12.13 โ†’ 4.83), down 60.2%. Weak margins on 162.6M revenue with only 23.9M profit (14.7% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

3 months โ†“ -38.84%

Fluence Energy takes a breather following a 3-month decline (25.00 โ†’ 15.29), down 38.8%. Financial struggles compound the decline: despite 431.6M revenue, - 41.9M losses persist (-9.7% margin) as of Qtr ending Mar 2025. Until profitability improves, caution remains warranted.

United States Market Monthly Gainers & Losers: February 2024

Top United States Stock Gainers (February 2024)

StockMonth OpenMonth CloseMonthly ChangeAvg Daily VolumeMonth Volume
$16.21 $25.08 55.87% 101.56M 2.23B
$62.10 $79.11 28.57% 503.54M 11.08B
$393.94 $490.13 25.63% 21.19M 466.15M
$106.17 $125.21 18.48% 6.36M 139.98M
$647.33 $753.68 16.74% 3.48M 76.66M
$50.18 $102.28 104.07% 15.67M 344.71M
$43.48 $75.93 76.34% 8.91M 195.93M
$28.48 $45.88 65.75% 7.99M 175.80M
$50.00 $81.62 63.57% 4.82M 106.09M
$54.00 $86.61 63.54% 146.25M 3.22B
$1.70 $7.42 346.99% 75.19M 1.65B
$8.23 $32.11 296.42% 951.00K 20.92M
$24.30 $77.05 219.18% 8.43M 185.47M
$0.89 $1.85 117.65% 5.35M 117.77M
$3.85 $8.15 111.69% 198.22K 4.36M
$0.26 $3.56 1,324.00% - -
$8.70 $48.38 465.19% 1.37M 30.06M
$1.65 $3.36 107.41% 7.91M 174.00M
$4.95 $10.06 107.00% 2.36M 51.93M
$17.48 $30.92 79.56% 1.91M 42.08M

Biggest United States Stock Losers (February 2024)

StockMonth OpenMonth CloseMonthly ChangeAvg Daily VolumeMonth Volume
$18.09 $16.93 -4.30% 33.11M 728.37M
$50.23 $48.37 -3.61% 19.22M 422.73M
$508.83 $493.60 -3.54% 3.20M 70.45M
$183.99 $180.75 -1.98% 52.80M 1.16B
$87.19 $86.04 -1.38% 6.52M 143.53M
$16.09 $11.02 -30.65% 41.45M 911.90M
$88.91 $63.18 -28.25% 8.56M 188.34M
$15.54 $11.32 -26.06% 46.12M 1.01B
$79.11 $60.18 -23.29% 1.62M 35.58M
$78.44 $60.15 -22.71% 216.77K 4.77M
$9.46 $4.30 -54.40% 7.60M 167.29M
$165.01 $108.04 -34.01% 1.17M 25.68M
$19.65 $14.37 -25.97% 15.56M 342.38M
$31.86 $23.95 -24.40% 4.88M 107.40M
$14.90 $11.04 -24.33% 16.57M 364.65M
$1.77 $0.69 -58.93% 807.33K 17.76M
$2.41 $1.16 -50.00% 2.27M 49.99M
$33.02 $19.56 -39.22% 589.97K 12.98M
$4.15 $2.65 -35.37% 5.89M 129.66M
$30.58 $19.67 -34.80% 2.30M 50.57M

Most Active United States Stocks During February 2024

StockMonth OpenMonth CloseMonthly ChangeAvg Daily VolumeMonthly Volume
$62.10 $79.11 28.57% 503.54M 11.08B
$54.00 $86.61 63.54% 146.25M 3.22B
$16.21 $25.08 55.87% 101.56M 2.23B
$188.50 $201.88 7.79% 91.81M 2.02B
$1.70 $7.42 346.99% 75.19M 1.65B
$17.76 $25.90 46.08% 74.89M 1.65B
$169.27 $192.53 14.81% 57.81M 1.27B
$11.82 $12.44 6.14% 54.10M 1.19B
$183.99 $180.75 -1.98% 52.80M 1.16B
$15.54 $11.32 -26.06% 46.12M 1.01B
$5.73 $5.75 2.31% 45.83M 1.01B
$4.98 $3.53 -20.67% 41.53M 913.75M
$16.09 $11.02 -30.65% 41.45M 911.90M
$7.93 $8.98 14.69% 41.30M 908.55M
$8.10 $16.72 107.70% 39.79M 875.31M
$3.52 $3.30 -2.37% 31.16M 685.44M
$3.87 $6.03 59.52% 20.34M 447.49M
$1.71 $1.88 12.57% 19.82M 436.12M
$5.38 $6.48 22.03% 15.76M 346.70M
$15.20 $12.04 -16.85% 14.76M 324.68M

United States Sector Performance During February 2024

Communication Services

18.66%
249 stocks
Top Performers by Market Cap:
Mega Cap: META +25.63%
Large Cap: APP +45.20%
Small Cap: GRPN +35.51%

Healthcare

13.03%
1157 stocks
Top Performers by Market Cap:
Mega Cap: LLY +16.74%
Large Cap: NTRA +31.16%
Small Cap: JANX +465.19%

Technology

9.21%
760 stocks
Top Performers by Market Cap:

Industrials

6.02%
627 stocks
Top Performers by Market Cap:
Mega Cap: GE +18.48%
Large Cap: XPO +40.82%
Small Cap: LUNR +59.52%

Consumer Cyclical

4.55%
568 stocks
Top Performers by Market Cap:
Mega Cap: AMZN +13.89%
Large Cap: CVNA +76.34%
Small Cap: RVLV +52.19%

Consumer Defensive

3.27%
224 stocks
Top Performers by Market Cap:
Mega Cap: COST +7.05%
Large Cap: CELH +63.57%
Small Cap: VITL +24.97%

Utilities

2.22%
95 stocks
Top Performers by Market Cap:
Large Cap: CEG +38.07%
Mid Cap: SWX +16.14%
Small Cap: ARIS +38.39%

Basic Materials

1.54%
259 stocks
Top Performers by Market Cap:
Mega Cap: LIN +10.87%
Large Cap: CTVA +17.68%
Small Cap: PRM +28.27%

Financial Services

1.30%
932 stocks
Top Performers by Market Cap:
Mega Cap: WFC +10.78%
Large Cap: COIN +58.78%
Small Cap: WT +19.05%

Energy

0.55%
198 stocks
Top Performers by Market Cap:
Mega Cap: CVX +3.11%
Large Cap: FANG +18.72%
Mid Cap: SM +18.04%
Small Cap: HPK +21.39%

Real Estate

-0.36%
263 stocks
Top Performers by Market Cap:
Large Cap: DOC +36.85%
Mid Cap: MPW +35.81%
Small Cap: XHR +15.08%

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