United States Market Monthly Performance for April 2025

Monthly Gainers
2,449
Monthly Losers
3,480
Average Return
-0.66%
Total Stocks
6,174
View Detailed Market Cap Breakdown
Market CapMonthly GainersMonthly LosersAverage ReturnTotal Stocks
Mega Cap 20 27 0.31% 47
Large Cap 306 414 -0.65% 721
Mid Cap 361 619 -1.80% 981
Small Cap 187 315 -2.27% 505

Monthly Streak Leaders for April 2025

Stock Streak Streak Return
4 months โ†‘ 41.22%

Philip Morris shows promise with a 4-month winning streak (121.34 โ†’ 171.36), delivering 41.2% gains. The financials tell a compelling story: 9.3B revenue generating 2.8B net profit (30.5% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025. This mega-cap's 30.5% net margin reflects operational maturity and pricing power.

4 months โ†‘ 16.36%

Coca-Cola shows promise with a 4-month winning streak (62.35 โ†’ 72.55), delivering 16.4% 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. This mega-cap's 30.0% net margin reflects operational maturity and pricing power.

3 months โ†“ -21.21%

Amazon.com pulls back after a 3-month decline (234.06 โ†’ 184.42), down 21.2%. Weak margins on 155.7B revenue with only 17.1B profit (11.0% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts. Mega-cap struggles reflect broader industry headwinds requiring strategic patience.

3 months โ†“ -18.78%

Meta Platforms takes a breather following a 3-month decline (675.91 โ†’ 549.00), down 18.8%. However, fundamentals remain robust: 48.4B revenue generating 20.8B profit (43.1% margin) as of Qtr ending Dec 2024 suggests this could be a temporary setback. Value hunters take note. Even with 43.1% margins, mega-caps face valuation resets when growth slows.

6 months โ†‘ 60.15%

Verisign builds on success with a 6-month winning streak (176.16 โ†’ 282.12), delivering 60.1% gains. The financials tell a compelling story: 402.3M revenue generating 199.3M net profit (49.5% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025. This large-cap's 49.5% net margin and 76.8% operating efficiency demonstrate mature profit generation.

6 months โ†‘ 28.21%

Kroger shows consistent strength with a 6-month winning streak (56.32 โ†’ 72.21), delivering 28.2% gains. With 45.1B revenue generating only 868.0M profit (1.9% margin) in Qtr ending Apr 2025, the market prices in future margin expansion potential. Large-cap resilience shines as market rewards turnaround potential over current metrics.

10 months โ†“ -47.68%

Biogen struggles to find footing after a 10-month decline (231.41 โ†’ 121.08), down 47.7%. Weak margins on 2.4B revenue with only 240.5M profit (9.9% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts. Large-cap declines test whether scale advantages offset margin pressures.

8 months โ†“ -28.95%

HP faces persistent headwinds with a 8-month decline (35.99 โ†’ 25.57), down 29.0%. Weak margins on 13.2B revenue with only 406.0M profit (3.1% margin) in Qtr ending Apr 2025 validate market skepticism. Structural improvements needed before sentiment shifts. Large-cap declines test whether scale advantages offset margin pressures.

9 months โ†‘ 81.22%

Paycor HCM maintains strong momentum with a 9-month winning streak (12.41 โ†’ 22.49), delivering 81.2% gains. Despite 180.4M in revenue and - 2.0M loss (-1.1% margin) as of Qtr ending Dec 2024, the market sees potential beyond current profitability. This momentum suggests confidence in future execution. Mid-cap agility allows pivoting strategies as market dynamics evolve.

9 months โ†‘ 58.17%

SolarWinds builds on success with a 9-month winning streak (11.69 โ†’ 18.49), delivering 58.2% gains. The financials tell a compelling story: 210.3M revenue generating 72.7M net profit (34.6% margin) demonstrates exceptional profit margins as of Qtr ending Dec 2024. This mid-cap's 34.6% profit margin signals transition to profitable scale.

10 months โ†“ -65.55%

Axcelis experiences extended pressure with a 10-month decline (142.19 โ†’ 48.98), down 65.6%. However, fundamentals remain robust: 192.6M revenue generating 28.6M profit (14.8% margin) as of Qtr ending Mar 2025 suggests this could be a temporary setback. Value hunters take note. Mid-cap volatility despite strong fundamentals creates value opportunities.

9 months โ†“ -43.84%

Ashland faces persistent headwinds with a 9-month decline (96.85 โ†’ 54.39), down 43.8%. Weak margins on 479.0M revenue with only 31.0M profit (6.5% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts. Mid-cap flexibility becomes crucial when growth stalls and margins compress.

7 months โ†‘ 39.37%

Air Transport builds on success with a 7-month winning streak (16.13 โ†’ 22.48), delivering 39.4% gains. With 516.8M revenue generating only 14.7M profit (2.8% margin) in Qtr ending Dec 2024, the market prices in future margin expansion potential. Small-cap volatility rewards believers as fundamentals catch up to valuation.

6 months โ†‘ 143.31%

Paragon builds on success with a 6-month winning streak (5.38 โ†’ 13.09), delivering 143.3% gains. Despite 71.7M in revenue and - 11.1M loss (-15.5% margin) as of Qtr ending Dec 2024, the market sees potential beyond current profitability. This momentum suggests confidence in future execution. Early-stage losses typical for growth-focused small-caps prioritizing market share.

10 months โ†“ -59.99%

Veeco Instruments struggles to find footing after a 10-month decline (46.74 โ†’ 18.70), down 60.0%. Weak margins on 167.3M revenue with only 11.9M profit (7.1% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts. Thin margins leave little room for error in unforgiving small-cap markets.

8 months โ†“ -70.35%

Neogen experiences extended pressure with a 8-month decline (17.03 โ†’ 5.05), down 70.3%. Financial struggles compound the decline: despite 221.0M revenue, - 11.0M losses persist (-5.0% margin) as of Qtr ending Feb 2025. Until profitability improves, caution remains warranted. Small-cap losses deepen as market questions path to profitability.

United States Market Monthly Gainers & Losers: April 2025

Top United States Stock Gainers (April 2025)

StockMonth OpenMonth CloseMonthly ChangeAvg Daily VolumeMonth Volume
$83.89 $118.44 40.33% 107.75M 2.37B
$927.50 $1,131.72 21.36% 5.58M 122.82M
$798.22 $955.01 19.96% 2.18M 48.01M
$166.37 $192.47 14.96% 32.32M 711.02M
$87.54 $97.25 10.78% 23.17M 509.84M
$32.61 $60.00 88.21% 93.01K 2.05M
$293.53 $380.11 31.86% 17.49M 384.83M
$310.86 $389.48 25.42% 821.26K 18.07M
$22.76 $27.86 24.82% 9.82M 216.13M
$24.31 $27.46 24.42% 17.35M 381.61M
$1.79 $3.14 82.56% 12.75M 280.51M
$3.87 $6.82 73.10% 32.35M 711.79M
$33.92 $51.95 48.90% 793.29K 17.45M
$44.33 $61.44 42.02% 754.18K 16.59M
$66.33 $92.01 36.76% 1.14M 25.10M
$2.40 $4.49 86.31% 1.31M 28.79M
$0.60 $1.03 71.67% 212.97K 4.69M
$1.38 $1.93 64.96% 9.29M 204.37M
$2.17 $3.72 64.60% 564.91K 12.43M
$0.35 $0.54 54.29% 4.12M 90.69M

Biggest United States Stock Losers (April 2025)

StockMonth OpenMonth CloseMonthly ChangeAvg Daily VolumeMonth Volume
$525.74 $411.44 -21.44% 8.38M 184.40M
$167.29 $136.06 -18.67% 10.98M 241.60M
$72.75 $64.48 -12.01% 6.27M 137.97M
$119.22 $105.63 -11.18% 18.09M 398.03M
$98.32 $90.95 -7.85% 12.10M 266.29M
$97.93 $76.31 -22.07% 4.64M 102.08M
$76.80 $60.02 -21.93% 3.79M 83.29M
$25.25 $19.82 -21.88% 14.56M 320.39M
$42.89 $33.58 -21.54% 3.75M 82.44M
$93.28 $72.66 -21.46% 2.04M 44.88M
$13.45 $6.49 -52.17% 3.53M 77.55M
$114.68 $71.88 -37.07% 1.85M 40.79M
$3.20 $2.13 -32.81% 46.52M 1.02B
$8.16 $5.64 -31.39% 13.74M 302.32M
$47.55 $32.85 -31.00% 3.27M 72.01M
$0.15 $0.15 -94.27% 2 50
$7.55 $4.15 -45.32% 820.74K 18.06M
$8.62 $5.05 -41.75% 8.74M 192.27M
$12.57 $8.01 -36.73% 346.41K 7.62M
$1.35 $0.87 -35.56% 83.57M 1.84B

Most Active United States Stocks During April 2025

StockMonth OpenMonth CloseMonthly ChangeAvg Daily VolumeMonthly Volume
$108.52 $108.92 0.50% 309.51M 6.81B
$10.10 $10.01 -0.20% 142.60M 3.14B
$263.80 $282.16 8.87% 134.45M 2.96B
$22.56 $20.10 -11.49% 110.12M 2.42B
$83.89 $118.44 40.33% 107.75M 2.37B
$2.44 $2.51 3.72% 105.23M 2.32B
$1.35 $0.87 -35.56% 83.57M 1.84B
$219.81 $212.50 -4.34% 73.02M 1.61B
$10.30 $9.95 -5.69% 70.63M 1.55B
$11.59 $12.51 7.57% 65.50M 1.44B
$1.31 $1.41 8.46% 64.56M 1.42B
$41.32 $39.88 -4.43% 61.78M 1.36B
$25.29 $24.41 -3.67% 55.26M 1.22B
$10.30 $12.43 21.39% 54.44M 1.20B
$2.89 $3.11 9.12% 53.39M 1.17B
$2.90 $3.41 19.23% 49.73M 1.09B
$3.87 $4.05 6.30% 47.30M 1.04B
$3.20 $2.13 -32.81% 46.52M 1.02B
$2.22 $1.54 -30.94% 41.44M 911.70M
$2.71 $2.78 1.83% 33.73M 742.10M

United States Sector Performance During April 2025

Consumer Defensive

4.39%
245 stocks
Top Performers by Market Cap:
Mega Cap: WMT +10.78%
Large Cap: SFM +12.03%
Small Cap: COUR +26.43%

Basic Materials

2.13%
262 stocks
Top Performers by Market Cap:
Mega Cap: LIN -2.67%
Large Cap: KGC +17.05%
Mid Cap: TMC +82.56%
Small Cap: NVAWW +53.85%

Technology

2.00%
803 stocks
Top Performers by Market Cap:
Mega Cap: PLTR +40.33%
Large Cap: MSTR +31.86%
Mid Cap: ODD +42.02%
Small Cap: AVPTW +33.41%

Utilities

1.32%
98 stocks
Top Performers by Market Cap:
Large Cap: NRG +14.79%
Mid Cap: OKLO +9.75%
Small Cap: STEM +54.29%

Communication Services

0.96%
262 stocks
Top Performers by Market Cap:
Mega Cap: NFLX +21.36%
Large Cap: RBLX +15.03%
Mid Cap: DJT +25.59%
Small Cap: WBTN +17.34%

Healthcare

0.64%
1211 stocks
Top Performers by Market Cap:
Mega Cap: LLY +8.84%
Large Cap: RGC +88.21%
Small Cap: BSGM +71.67%

Industrials

-0.41%
693 stocks
Top Performers by Market Cap:
Mega Cap: GE +0.69%
Large Cap: FIX +23.34%
Mid Cap: HTZ +73.10%
Small Cap: HTZWW +64.60%

Financial Services

-1.95%
1048 stocks
Top Performers by Market Cap:
Mega Cap: BRK.A +0.26%
Large Cap: NU +21.39%
Small Cap: CIFR +23.91%

Consumer Cyclical

-3.73%
590 stocks
Top Performers by Market Cap:
Mega Cap: TSLA +8.87%
Large Cap: GME +24.82%
Small Cap: TDUP +86.31%

Real Estate

-7.81%
273 stocks
Top Performers by Market Cap:
Large Cap: DLR +12.04%
Mid Cap: AHR +6.53%
Small Cap: RDFN +3.26%

Energy

-11.50%
216 stocks
Top Performers by Market Cap:
Mega Cap: XOM -11.18%
Large Cap: CCJ +9.69%
Mid Cap: NXE +16.48%
Small Cap: UUUU +21.18%

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