United States Market Monthly Performance for July 2024

Monthly Gainers
3,790
Monthly Losers
1,763
Average Return
18.10%
Total Stocks
5,811
View Detailed Market Cap Breakdown
Market CapMonthly GainersMonthly LosersAverage ReturnTotal Stocks
Mega Cap 33 14 2.21% 47
Large Cap 519 196 4.75% 718
Mid Cap 779 185 8.53% 969
Small Cap 364 138 117.26% 506

Monthly Streak Leaders for July 2024

Stock Streak Streak Return
10 months โ†‘ 19.37%

Coca-Cola is on fire with an unstoppable a 10-month winning streak (55.91 โ†’ 66.74), delivering 19.4% gains. The financials tell a compelling story: 11.1B revenue generating 3.3B net profit (30.0% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

4 months โ†‘ 11.68%

T-Mobile US shows promise with a 4-month winning streak (163.22 โ†’ 182.28), delivering 11.7% 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.

4 months โ†“ -23.24%

Walt Disney consolidates with a 4-month decline (122.06 โ†’ 93.69), down 23.2%. Revenue of 23.6B provides a foundation, but 3.4B net income (14.4% margin) in Qtr ending Mar 2025 highlights operational challenges that need addressing.

2 months โ†“ -15.42%

Advanced Micro pulls back after a 2-month decline (170.82 โ†’ 144.48), down 15.4%. 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.

10 months โ†‘ 39.88%

Colgate-Palmolive continues its remarkable run with a 10-month winning streak (70.91 โ†’ 99.19), delivering 39.9% gains. The financials tell a compelling story: 4.9B revenue generating 726.0M net profit (14.8% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

9 months โ†‘ 138.17%

Sprouts Farmers maintains strong momentum with a 9-month winning streak (41.94 โ†’ 99.89), delivering 138.2% gains. With 2.2B revenue generating only 180.0M profit (8.0% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

7 months โ†“ -33.14%

Snowflake encounters challenges with a 7-month decline (195.00 โ†’ 130.38), down 33.1%. 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.

5 months โ†“ -33.45%

Ulta Beauty sees continued selling pressure through a 5-month decline (548.31 โ†’ 364.89), down 33.5%. Revenue of 2.8B provides a foundation, but 305.1M net income (10.7% margin) in Qtr ending Apr 2025 highlights operational challenges that need addressing.

10 months โ†‘ 86.19%

Csw Industrials dominates the market with an impressive a 10-month winning streak (174.24 โ†’ 324.42), delivering 86.2% gains. The financials tell a compelling story: 230.5M revenue generating 35.1M net profit (15.2% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

9 months โ†‘ 177.10%

Zeta Global Holdings maintains strong momentum with a 9-month winning streak (7.73 โ†’ 21.42), delivering 177.1% gains. Despite 264.4M in revenue and - 21.6M loss (-8.2% margin) as of Qtr ending Mar 2025, the market sees potential beyond current profitability. This momentum suggests confidence in future execution.

7 months โ†“ -45.91%

Freshworks encounters challenges with a 7-month decline (23.11 โ†’ 12.50), down 45.9%. Financial struggles compound the decline: despite 196.3M revenue, - 1.3M losses persist (-0.7% margin) as of Qtr ending Mar 2025. Until profitability improves, caution remains warranted.

6 months โ†“ -33.96%

Penumbra encounters challenges with a 6-month decline (253.00 โ†’ 167.09), down 34.0%. Weak margins on 324.1M revenue with only 39.2M profit (12.1% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

6 months โ†‘ 60.58%

Perella Weinberg maintains strong momentum with a 6-month winning streak (11.77 โ†’ 18.90), delivering 60.6% gains. With 211.8M revenue generating only 21.4M profit (10.1% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

6 months โ†‘ 14.38%

LTC Properties shows consistent strength with a 6-month winning streak (31.22 โ†’ 35.71), delivering 14.4% gains. The financials tell a compelling story: 49.0M revenue generating 22.2M net profit (45.3% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

7 months โ†“ -52.49%

EVEX faces significant headwinds with 7 consecutive negative months, down 52.49%.

6 months โ†“ -29.84%

Amplitude sees continued selling pressure through a 6-month decline (12.20 โ†’ 8.56), down 29.8%. Financial struggles compound the decline: despite 80.0M revenue, - 22.2M losses persist (-27.8% margin) as of Qtr ending Mar 2025. Until profitability improves, caution remains warranted.

United States Market Monthly Gainers & Losers: July 2024

Top United States Stock Gainers (July 2024)

StockMonth OpenMonth CloseMonthly ChangeAvg Daily VolumeMonth Volume
$201.02 $232.07 17.28% 133.91M 2.95B
$101.98 $115.16 13.65% 4.66M 102.58M
$506.75 $576.16 13.14% 4.34M 95.46M
$173.45 $192.14 11.10% 3.69M 81.26M
$232.33 $253.04 9.28% 2.68M 58.92M
$3.13 $9.63 186.61% 265.43K 5.84M
$291.46 $290.84 161.12% 20.48K 450.60K
$47.40 $44.84 123.31% 10.63M 233.81M
$11.85 $20.68 78.12% 9.43M 207.50M
$109.65 $145.87 33.12% 776.62K 17.09M
$1.05 $3.15 186.36% 23.14M 509.04M
$3.33 $6.18 86.14% 38.18K 839.90K
$57.25 $90.29 57.19% 339.59K 7.47M
$29.87 $46.20 54.77% 726.06K 15.97M
$2.76 $4.00 44.40% 9.17M 201.73M
$44.22 $43.55 54,337.50% 23.21K 510.50K
$17.44 $18.37 152.34% 187.36K 4.12M
$6.40 $13.50 111.93% 192.12K 4.23M
$1.22 $2.59 110.57% 5.87M 129.24M
$9.14 $16.56 83.59% 6.74M 148.29M

Biggest United States Stock Losers (July 2024)

StockMonth OpenMonth CloseMonthly ChangeAvg Daily VolumeMonth Volume
$911.77 $804.27 -11.17% 3.29M 72.47M
$161.25 $144.48 -10.93% 56.52M 1.24B
$674.89 $628.35 -6.89% 3.68M 80.91M
$448.66 $418.35 -6.40% 20.02M 440.45M
$504.95 $474.83 -5.83% 14.73M 324.01M
$69.03 $12.50 -82.58% 1.31M 28.92M
$113.00 $67.82 -40.18% 6.67M 146.68M
$385.28 $231.96 -39.47% 11.40M 250.90M
$90.30 $63.05 -31.74% 6.13M 134.80M
$60.50 $43.84 -27.55% 1.41M 31.11M
$109.52 $72.74 -33.25% 2.55M 56.04M
$84.25 $60.02 -28.62% 4.61M 101.39M
$19.02 $13.58 -27.80% 4.28M 94.25M
$12.03 $8.94 -25.87% 2.39M 52.67M
$30.89 $23.94 -22.47% 2.10M 46.24M
$4.55 $1.39 -69.38% 221.37K 4.87M
$27.70 $11.81 -49.62% 2.52M 55.43M
$0.12 $0.11 -42.11% 448 9.85K
$20.15 $14.14 -29.79% 1.62M 35.59M
$28.77 $20.65 -27.82% 1.52M 33.37M

Most Active United States Stocks During July 2024

StockMonth OpenMonth CloseMonthly ChangeAvg Daily VolumeMonthly Volume
$123.47 $117.02 -5.28% 291.16M 6.41B
$201.02 $232.07 17.28% 133.91M 2.95B
$12.56 $10.82 -13.72% 69.64M 1.53B
$83.14 $70.17 -14.35% 57.76M 1.27B
$161.25 $144.48 -10.93% 56.52M 1.24B
$30.91 $30.74 -0.74% 53.97M 1.19B
$212.09 $222.08 5.44% 52.41M 1.15B
$20.33 $19.67 -0.91% 47.82M 1.05B
$13.46 $16.41 22.28% 44.47M 978.43M
$2.65 $3.52 34.87% 44.19M 972.25M
$4.35 $4.44 6.73% 43.71M 961.65M
$25.48 $26.89 6.16% 42.57M 936.51M
$6.60 $7.54 14.07% 42.40M 932.83M
$2.35 $2.47 6.01% 41.45M 911.93M
$11.33 $10.64 -6.09% 38.90M 855.74M
$3.98 $5.09 28.86% 31.95M 702.81M
$4.60 $4.16 -6.52% 20.00M 439.90M
$4.87 $5.31 6.63% 18.94M 416.70M
$2.00 $1.97 -1.01% 15.72M 345.86M
$11.88 $17.53 47.81% 14.51M 319.22M

United States Sector Performance During July 2024

Technology

72.26%
789 stocks
Top Performers by Market Cap:
Mega Cap: IBM +11.10%
Large Cap: ASTS +78.12%
Mid Cap: AUR +44.40%

Industrials

21.73%
655 stocks
Top Performers by Market Cap:
Mega Cap: GE +7.06%
Large Cap: RBC +161.12%
Mid Cap: PCT +32.25%
Small Cap: PSIX +111.93%

Basic Materials

12.84%
263 stocks
Top Performers by Market Cap:
Mega Cap: LIN +3.35%
Large Cap: AEM +18.00%
Mid Cap: EXP +25.22%
Small Cap: NG +38.15%

Financial Services

9.63%
973 stocks
Top Performers by Market Cap:
Mega Cap: AXP +9.28%
Large Cap: FCNCA +24.00%
Small Cap: LC +47.87%

Real Estate

7.97%
272 stocks
Top Performers by Market Cap:
Large Cap: CBRE +26.48%
Small Cap: RDFN +35.44%

Utilities

7.41%
99 stocks
Top Performers by Market Cap:
Large Cap: ES +14.46%
Small Cap: HE +83.59%

Healthcare

7.38%
1189 stocks
Top Performers by Market Cap:
Mega Cap: UNH +13.14%
Large Cap: RGC +186.61%
Mid Cap: BGM +86.14%
Small Cap: CLOV +55.28%

Consumer Cyclical

5.91%
584 stocks
Top Performers by Market Cap:
Mega Cap: TSLA +17.28%
Large Cap: SW +123.31%
Mid Cap: MHK +41.80%
Small Cap: EVGO +56.73%

Energy

4.80%
203 stocks
Top Performers by Market Cap:
Mega Cap: XOM +3.01%
Large Cap: FTI +12.81%
Mid Cap: LB +42.42%
Small Cap: CMBT +152.34%

Communication Services

3.98%
254 stocks
Top Performers by Market Cap:
Mega Cap: TMUS +3.46%
Large Cap: CHTR +27.01%
Small Cap: SPHR +26.87%

Consumer Defensive

2.93%
235 stocks
Top Performers by Market Cap:
Mega Cap: PM +13.65%
Large Cap: SFM +19.40%
Mid Cap: NWL +34.01%
Small Cap: YSG +46.99%

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