United States: Weekly Stock Market Performance Insight - March 10 - 16, 2025

Weekly Gainers
1,870
Weekly Losers
3,905
Average Return
-0.71%
Total Stocks
6,126
View Detailed Market Cap Breakdown
Market CapWeekly GainersWeekly LosersAverage ReturnTotal Stocks
Mega Cap 12 36 -2.19% 48
Large Cap 210 512 -1.52% 723
Mid Cap 297 679 -1.39% 985
Small Cap 140 362 -1.74% 506

Weekly Streak Leaders for Week: March 10 - 16, 2025

Stock Streak Streak Return
2 weeks โ†‘ -0.54%

Advanced Micro starts to shine with a 2-week winning streak (101.52 โ†’ 100.97), delivering 0.5% gains. With 7.4B revenue generating only 709.0M profit (9.5% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

1 weeks โ†‘ 10.71%

Nvidia shows promise with a 1-week winning streak (109.90 โ†’ 121.67), delivering 10.7% gains. The financials tell a compelling story: 44.1B revenue generating 18.8B net profit (42.6% margin) demonstrates exceptional profit margins as of Qtr ending Apr 2025.

8 weeks โ†“ -42.22%

Tesla struggles to find footing after a 8-week decline (432.64 โ†’ 249.98), down 42.2%. 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.

7 weeks โ†“ -24.44%

ServiceNow sees continued selling pressure through a 7-week decline (1,117.42 โ†’ 844.33), down 24.4%. 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.

9 weeks โ†‘ 15.37%

Altria Group shows consistent strength with a 9-week winning streak (51.06 โ†’ 58.91), delivering 15.4% gains. The financials tell a compelling story: 4.5B revenue generating 1.1B net profit (23.8% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

9 weeks โ†‘ 13.08%

CME maintains strong momentum with a 9-week winning streak (228.75 โ†’ 258.68), delivering 13.1% gains. The financials tell a compelling story: 1.6B revenue generating 956.2M net profit (58.2% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

9 weeks โ†“ -37.52%

Illumina faces persistent headwinds with a 9-week decline (137.00 โ†’ 85.60), down 37.5%. 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.

8 weeks โ†“ -57.21%

Trade Desk experiences extended pressure with a 8-week decline (126.07 โ†’ 53.94), down 57.2%. Weak margins on 616.0M revenue with only 50.7M profit (8.2% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

5 weeks โ†‘ 11.64%

National Health gains traction with a 5-week winning streak (67.27 โ†’ 75.10), delivering 11.6% gains. The financials tell a compelling story: 89.3M revenue generating 33.8M net profit (37.9% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

5 weeks โ†‘ 0.79%

Pactiv Evergreen shows promise with a 5-week winning streak (17.74 โ†’ 17.88), delivering 0.8% gains. With 1.2B revenue generating only 50.0M profit (4.1% margin) in Qtr ending Dec 2024, the market prices in future margin expansion potential.

10 weeks โ†“ -30.69%

Buckle struggles to find footing after a 10-week decline (52.13 โ†’ 36.13), down 30.7%. 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.

8 weeks โ†“ -46.24%

Trump Media experiences extended pressure with a 8-week decline (37.59 โ†’ 20.21), down 46.2%. Financial struggles compound the decline: despite 821,200 revenue, - 31.7M losses persist (-3863.4% margin) as of Qtr ending Mar 2025. Until profitability improves, caution remains warranted.

5 weeks โ†‘ 33.33%

Brookdale Senior starts to shine with a 5-week winning streak (4.56 โ†’ 6.08), delivering 33.3% gains. Despite 813.9M in revenue and - 65.0M loss (-8.0% margin) as of Qtr ending Mar 2025, the market sees potential beyond current profitability. This momentum suggests confidence in future execution.

5 weeks โ†‘ 8.38%
10 weeks โ†“ -36.13%

Topgolf Callaway struggles to find footing after a 10-week decline (9.66 โ†’ 6.17), down 36.1%. 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.

8 weeks โ†“ -53.84%

United States Market Weekly Gainers & Losers: March 10 - 16, 2025

Top United States Stock Gainers (March 10 - 16, 2025)

StockWeek OpenWeek CloseWeekly ChangeAvg Daily VolumeWeek Volume
$109.90 $121.67 7.97% 324.37M 1.62B
$490.00 $514.60 3.83% 5.27M 26.37M
$736,299.00 $771,250.00 3.82% 1.80K 9.00K
$875.07 $918.00 3.02% 6.29M 31.46M
$66.93 $68.77 2.96% 5.24M 26.18M
$4.20 $12.62 207.06% 5.64M 28.21M
$55.01 $70.64 23.17% 3.38M 16.90M
$20.00 $25.00 21.65% 26.20M 131.00M
$20.24 $24.05 16.52% 130.48M 652.38M
$168.68 $204.93 16.28% 2.15M 10.73M
$5.01 $10.15 95.95% 107.30M 536.50M
$50.08 $54.78 42.84% 2.55M 12.77M
$4.89 $7.09 40.95% 17.77M 88.83M
$5.59 $6.10 24.24% 38.28M 191.41M
$9.03 $11.22 20.00% 74.62M 373.12M
$10.03 $10.70 83.85% 30.98M 154.91M
$2.94 $4.20 44.83% 301.72K 1.51M
$17.82 $25.35 42.34% 202.42K 1.01M
$10.28 $14.85 40.89% 4.41M 22.03M
$15.07 $22.11 39.76% 7.51M 37.57M

Biggest United States Stock Losers (March 10 - 16, 2025)

StockWeek OpenWeek CloseWeekly ChangeAvg Daily VolumeWeek Volume
$235.54 $213.49 -10.70% 66.45M 332.23M
$136.43 $126.71 -7.61% 8.33M 41.66M
$89.76 $85.35 -6.95% 32.83M 164.15M
$377.44 $351.31 -6.76% 4.73M 23.66M
$320.09 $299.83 -6.68% 4.13M 20.64M
$105.95 $86.74 -20.08% 6.46M 32.31M
$64.04 $53.94 -16.90% 17.06M 85.28M
$205.08 $183.12 -15.79% 11.74M 58.68M
$32.11 $28.15 -15.72% 11.02M 55.09M
$21.00 $18.70 -15.19% 2.17M 10.86M
$17.48 $13.88 -23.95% 8.38M 41.90M
$15.27 $13.18 -17.73% 39.22M 196.12M
$15.60 $13.22 -17.17% 6.45M 32.23M
$73.83 $61.95 -16.83% 2.00M 9.99M
$12.72 $10.87 -16.58% 90.84M 454.21M
$0.46 $0.32 -34.69% 1.12M 5.58M
$0.80 $0.61 -22.78% 178.18K 890.90K
$3.64 $3.04 -21.85% 13.42M 67.10M
$3.87 $3.19 -19.24% 304.02K 1.52M
$16.51 $13.68 -18.57% 965.92K 4.83M

Most Active United States Stocks During Week: March 10 - 16, 2025

StockWeek OpenWeek CloseWeekly ChangeAvg Daily VolumeWeekly Volume
$109.90 $121.67 7.97% 324.37M 1.62B
$252.54 $249.98 -4.83% 144.25M 721.24M
$82.00 $86.24 1.57% 115.53M 577.63M
$235.54 $213.49 -10.70% 66.45M 332.23M
$27.11 $26.58 -1.99% 54.01M 270.07M
$9.77 $9.73 -1.72% 147.27M 736.37M
$20.24 $24.05 16.52% 130.48M 652.38M
$37.80 $42.17 10.28% 74.96M 374.80M
$40.92 $39.24 -11.66% 59.09M 295.47M
$10.69 $11.73 8.51% 54.97M 274.86M
$2.11 $2.09 -2.79% 109.06M 545.32M
$5.01 $10.15 95.95% 107.30M 536.50M
$12.72 $10.87 -16.58% 90.84M 454.21M
$4.39 $4.90 9.62% 86.82M 434.10M
$9.03 $11.22 20.00% 74.62M 373.12M
$1.38 $1.38 -0.72% 63.83M 319.14M
$1.72 $1.66 -6.74% 63.33M 316.63M
$3.47 $3.53 5.69% 47.74M 238.70M
$2.01 $2.15 5.91% 47.70M 238.52M
$3.40 $3.26 -9.44% 38.20M 191.01M

United States Sector Performance During Week: March 10 - 16, 2025

Basic Materials

2.86%
262 stocks
Top Performers by Market Cap:
Mega Cap: LIN -2.83%
Large Cap: X +7.65%
Small Cap: EXK +18.59%

Real Estate

1.95%
270 stocks
Top Performers by Market Cap:
Large Cap: CCI +5.62%
Mid Cap: CTRE +9.94%
Small Cap: RDFN +83.85%

Energy

1.83%
216 stocks
Top Performers by Market Cap:
Mega Cap: SHEL +2.96%
Large Cap: VG +16.03%
Mid Cap: VRN +24.24%
Small Cap: DK +9.89%

Utilities

1.00%
98 stocks
Top Performers by Market Cap:
Large Cap: TLN +16.28%
Small Cap: ARIS +8.94%

Financial Services

0.56%
1039 stocks
Top Performers by Market Cap:
Mega Cap: BRK.B +3.83%
Large Cap: NU +8.51%
Small Cap: BOW +5.70%

Communication Services

-0.28%
261 stocks
Top Performers by Market Cap:
Mega Cap: NFLX +3.02%
Large Cap: APP +8.29%
Small Cap: GRPN +40.89%

Healthcare

-0.88%
1207 stocks
Top Performers by Market Cap:
Mega Cap: UNH -0.98%
Large Cap: RGC +207.06%
Small Cap: SPRY +9.40%

Industrials

-1.71%
690 stocks
Top Performers by Market Cap:
Mega Cap: GE +1.68%
Large Cap: LUV +8.66%
Small Cap: NNE +12.16%

Technology

-2.30%
801 stocks
Top Performers by Market Cap:
Mega Cap: NVDA +7.97%
Large Cap: RBRK +23.17%
Small Cap: RGTIW +44.83%

Consumer Cyclical

-4.45%
591 stocks
Top Performers by Market Cap:
Mega Cap: AMZN -0.65%
Large Cap: MMYT +7.93%
Small Cap: LVWR +11.50%

Consumer Defensive

-4.54%
243 stocks
Top Performers by Market Cap:
Mega Cap: PM +0.62%
Large Cap: MO +1.94%
Mid Cap: ATGE +7.16%
Small Cap: YSG +26.88%

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