United States: Weekly Stock Market Performance Insight - March 3 - 9, 2025

Weekly Gainers
1,785
Weekly Losers
3,994
Average Return
0.43%
Total Stocks
6,107
View Detailed Market Cap Breakdown
Market CapWeekly GainersWeekly LosersAverage ReturnTotal Stocks
Mega Cap 11 37 -3.35% 48
Large Cap 245 477 -2.31% 723
Mid Cap 281 699 -3.04% 985
Small Cap 147 351 -2.85% 506

Weekly Streak Leaders for Week: March 3 - 9, 2025

Stock Streak Streak Return
6 weeks โ†‘ 24.11%

AbbVie shows consistent strength with a 6-week winning streak (172.66 โ†’ 214.29), delivering 24.1% gains. With 13.3B revenue generating only 1.3B profit (9.7% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

6 weeks โ†‘ 12.29%

Johnson & Johnson maintains strong momentum with a 6-week winning streak (148.45 โ†’ 166.69), delivering 12.3% gains. The financials tell a compelling story: 21.9B revenue generating 11.0B net profit (50.2% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

7 weeks โ†“ -39.29%

Tesla encounters challenges with a 7-week decline (432.64 โ†’ 262.67), down 39.3%. Weak margins on 19.3B revenue with only 420.0M profit (2.2% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

6 weeks โ†“ -23.88%

ServiceNow sees continued selling pressure through a 6-week decline (1,117.42 โ†’ 850.63), down 23.9%. 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.

15 weeks โ†‘ 31.72%

Verisign dominates the market with an impressive a 15-week winning streak (182.56 โ†’ 240.47), delivering 31.7% 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.

8 weeks โ†‘ 54.91%

Rocket Companies maintains strong momentum with a 8-week winning streak (10.18 โ†’ 15.77), delivering 54.9% gains. Despite 999.0M in revenue and - 212.4M loss (-21.3% margin) as of Qtr ending Mar 2025, the market sees potential beyond current profitability. This momentum suggests confidence in future execution.

8 weeks โ†“ -36.77%

Illumina faces persistent headwinds with a 8-week decline (137.00 โ†’ 86.62), down 36.8%. Weak margins on 1.0B revenue with only 131.0M profit (12.6% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

7 weeks โ†“ -47.92%

Astera Labs sees continued selling pressure through a 7-week decline (128.50 โ†’ 66.92), down 47.9%. Weak margins on 159.4M revenue with only 31.8M profit (20.0% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

10 weeks โ†‘ 49.49%

Option Care Health continues its remarkable run with a 10-week winning streak (22.75 โ†’ 34.01), delivering 49.5% gains. With 1.3B revenue generating only 46.7M profit (3.5% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

8 weeks โ†‘ 18.85%

First Industrial shows consistent strength with a 8-week winning streak (48.38 โ†’ 57.50), delivering 18.9% gains. The financials tell a compelling story: 175.6M revenue generating 70.4M net profit (40.1% margin) demonstrates exceptional profit margins as of Qtr ending Dec 2024.

9 weeks โ†“ -38.24%

Core Natural experiences extended pressure with a 9-week decline (109.00 โ†’ 67.32), down 38.2%. Weak margins on 569.8M revenue with only 30.8M profit (5.4% margin) in Qtr ending Dec 2024 validate market skepticism. Structural improvements needed before sentiment shifts.

9 weeks โ†“ -26.43%

Buckle faces persistent headwinds with a 9-week decline (52.13 โ†’ 38.35), down 26.4%. However, fundamentals remain robust: 272.1M revenue generating 35.2M profit (12.9% margin) as of Qtr ending Apr 2025 suggests this could be a temporary setback. Value hunters take note.

7 weeks โ†‘ 28.38%

Opko Health maintains strong momentum with a 7-week winning streak (1.48 โ†’ 1.90), delivering 28.4% gains. Despite 150.0M in revenue and - 67.6M loss (-45.1% margin) as of Qtr ending Mar 2025, the market sees potential beyond current profitability. This momentum suggests confidence in future execution.

6 weeks โ†‘ 27.33%

Hawaiian Electric shows consistent strength with a 6-week winning streak (9.00 โ†’ 11.46), delivering 27.3% gains. While revenue hits 744.1M, net income of 27.1M (3.6% margin) in Qtr ending Mar 2025 shows the company is focusing on growth over margins - typical for expanding Utilities players.

9 weeks โ†“ -60.32%

Livewire faces persistent headwinds with a 9-week decline (5.04 โ†’ 2.00), down 60.3%. Financial struggles compound the decline: despite 2.7M revenue, - 19.3M losses persist (-702.6% margin) as of Qtr ending Mar 2025. Until profitability improves, caution remains warranted.

9 weeks โ†“ -34.68%

Topgolf Callaway faces persistent headwinds with a 9-week decline (9.66 โ†’ 6.31), down 34.7%. Weak margins on 1.1B revenue with only 2.1M profit (0.2% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

United States Market Weekly Gainers & Losers: March 3 - 9, 2025

Top United States Stock Gainers (March 3 - 9, 2025)

StockWeek OpenWeek CloseWeekly ChangeAvg Daily VolumeWeek Volume
$308.11 $321.29 4.20% 4.24M 21.22M
$474.37 $493.48 3.90% 5.12M 25.60M
$254.74 $261.54 3.60% 4.46M 22.28M
$209.98 $214.29 2.52% 6.30M 31.48M
$171.93 $173.86 2.10% 34.56M 172.80M
$265.25 $265.25 247.32% 583.83K 2.92M
$91.81 $112.44 24.26% 9.16M 45.78M
$29.08 $33.40 23.20% 21.24M 106.19M
$30.27 $33.15 19.50% 5.98M 29.89M
$333.99 $357.03 14.80% 90.84K 454.20K
$30.33 $38.44 27.75% 5.70M 28.52M
$26.75 $27.71 24.26% 7.62M 38.10M
$26.82 $31.36 16.80% 823.48K 4.12M
$39.77 $46.17 15.77% 846.07K 4.23M
$18.70 $21.56 15.67% 569.30K 2.85M
$0.20 $0.20 33.33% 295 1.47K
$53.20 $64.24 28.15% 217.08K 1.09M
$20.14 $24.45 22.19% 1.33M 6.67M
$3.07 $3.57 19.00% 2.64M 13.22M
$3.35 $4.03 18.53% 5.37M 26.85M

Biggest United States Stock Losers (March 3 - 9, 2025)

StockWeek OpenWeek CloseWeekly ChangeAvg Daily VolumeWeek Volume
$133.33 $119.29 -10.38% 8.68M 43.38M
$300.34 $262.67 -10.35% 107.42M 537.12M
$46.21 $41.40 -10.20% 57.31M 286.57M
$123.51 $112.69 -9.79% 351.36M 1.76B
$78.86 $71.05 -9.28% 21.60M 108.01M
$15.22 $9.23 -38.83% 15.69M 78.43M
$270.63 $187.65 -29.83% 5.41M 27.06M
$48.61 $35.36 -25.84% 6.67M 33.35M
$91.99 $70.84 -22.85% 35.19M 175.95M
$56.80 $43.70 -20.80% 11.58M 57.88M
$11.38 $7.57 -31.68% 42.59K 212.96K
$11.50 $7.78 -30.29% 28.46M 142.28M
$24.77 $19.13 -23.27% 8.50M 42.48M
$50.58 $38.94 -21.89% 1.15M 5.76M
$187.29 $149.65 -21.46% 1.51M 7.55M
$14.81 $8.77 -39.85% 27.84M 139.22M
$5.49 $3.34 -35.27% 56.69M 283.45M
$34.80 $24.03 -29.63% 1.88M 9.39M
$26.78 $19.05 -28.73% 7.42M 37.10M
$22.20 $15.82 -27.63% 5.36M 26.80M

Most Active United States Stocks During Week: March 3 - 9, 2025

StockWeek OpenWeek CloseWeekly ChangeAvg Daily VolumeWeekly Volume
$123.51 $112.69 -9.79% 351.36M 1.76B
$88.55 $84.91 -0.01% 114.03M 570.14M
$300.34 $262.67 -10.35% 107.42M 537.12M
$46.21 $41.40 -10.20% 57.31M 286.57M
$213.35 $199.25 -6.14% 50.42M 252.08M
$9.71 $9.90 3.66% 153.41M 767.04M
$25.00 $20.64 -13.02% 119.66M 598.32M
$42.28 $38.24 -7.77% 82.93M 414.67M
$11.00 $10.81 0.56% 74.38M 371.90M
$14.65 $12.59 -12.99% 56.10M 280.48M
$2.27 $2.15 -3.15% 99.41M 497.06M
$14.36 $13.03 -9.20% 63.67M 318.33M
$8.54 $9.35 10.52% 60.93M 304.63M
$15.32 $16.02 15.09% 57.44M 287.19M
$4.49 $4.47 -3.46% 52.12M 260.59M
$1.61 $1.78 10.56% 75.01M 375.06M
$1.53 $1.39 -6.71% 68.04M 340.19M
$2.26 $2.03 -10.18% 57.14M 285.71M
$5.49 $3.34 -35.27% 56.69M 283.45M
$4.31 $3.60 -14.08% 33.13M 165.65M

United States Sector Performance During Week: March 3 - 9, 2025

Consumer Defensive

20.36%
244 stocks
Top Performers by Market Cap:
Mega Cap: PG +1.21%
Large Cap: BJ +14.06%
Mid Cap: TR +8.24%
Small Cap: GO +10.36%

Industrials

16.89%
688 stocks
Top Performers by Market Cap:
Mega Cap: GE -6.34%
Large Cap: ESLT +14.80%
Mid Cap: HII +11.61%
Small Cap: ATRO +22.19%

Basic Materials

1.72%
262 stocks
Top Performers by Market Cap:
Mega Cap: LIN +0.37%
Large Cap: MT +19.50%
Mid Cap: FSM +13.66%
Small Cap: NG +19.00%

Real Estate

-0.69%
269 stocks
Top Performers by Market Cap:
Large Cap: BEKE +8.94%
Small Cap: DRH +3.77%

Utilities

-1.08%
98 stocks
Top Performers by Market Cap:
Large Cap: AWK +6.94%
Mid Cap: CWT +5.39%
Small Cap: MSEX +28.15%

Communication Services

-1.36%
258 stocks
Top Performers by Market Cap:
Mega Cap: GOOGL +2.10%
Large Cap: EA +8.46%
Mid Cap: WLY +15.77%
Small Cap: FUBO +4.95%

Financial Services

-2.56%
1035 stocks
Top Performers by Market Cap:
Mega Cap: BRK.B -3.54%
Large Cap: RKT +12.64%
Small Cap: GHLD +7.44%

Healthcare

-3.14%
1198 stocks
Top Performers by Market Cap:
Mega Cap: UNH +3.90%
Large Cap: VEEV +10.11%
Small Cap: NAMSW +16.98%

Technology

-3.50%
799 stocks
Top Performers by Market Cap:
Mega Cap: IBM +3.60%
Large Cap: AZPN +247.32%
Small Cap: TUYA +18.53%

Consumer Cyclical

-3.98%
586 stocks
Top Performers by Market Cap:
Mega Cap: MCD +4.20%
Large Cap: XPEV +9.82%
Mid Cap: ZK +16.80%
Small Cap: TRS +18.35%

Energy

-6.11%
215 stocks
Top Performers by Market Cap:
Mega Cap: SHEL -0.99%
Large Cap: TRP +2.55%
Mid Cap: CSAN +4.78%
Small Cap: TRMD +8.36%

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