United States: Weekly Stock Market Performance Insight - May 26 - June 1, 2025

Weekly Gainers
3,494
Weekly Losers
2,141
Average Return
9.34%
Total Stocks
6,055
View Detailed Market Cap Breakdown
Market CapWeekly GainersWeekly LosersAverage ReturnTotal Stocks
Mega Cap 42 6 1.96% 48
Large Cap 533 183 1.25% 720
Mid Cap 663 300 0.94% 974
Small Cap 339 150 2.13% 498

Weekly Streak Leaders for Week: May 26 - June 1, 2025

Stock Streak Streak Return
8 weeks โ†‘ 50.67%

General Electric builds on success with a 8-week winning streak (163.21 โ†’ 245.91), delivering 50.7% gains. The financials tell a compelling story: 9.9B revenue generating 2.0B net profit (19.9% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

6 weeks โ†‘ 44.96%

Broadcom shows consistent strength with a 6-week winning streak (166.99 โ†’ 242.07), delivering 45.0% gains. The financials tell a compelling story: 15.0B revenue generating 5.0B net profit (33.1% margin) demonstrates exceptional profit margins as of Qtr ending Apr 2025.

2 weeks โ†“ -7.89%

Salesforce pulls back after a 2-week decline (288.10 โ†’ 265.37), down 7.9%. Weak margins on 9.8B revenue with only 1.5B profit (15.7% margin) in Qtr ending Apr 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

2 weeks โ†“ -4.90%

Exxon Mobil pulls back after a 2-week decline (107.57 โ†’ 102.30), down 4.9%. The 81.1B revenue base faces margin compression with profits at 8.0B (Qtr ending Mar 2025). Market concerns about profitability appear justified as competition intensifies.

8 weeks โ†‘ 118.59%

Carvana shows consistent strength with a 8-week winning streak (149.67 โ†’ 327.16), delivering 118.6% gains. Financial performance remains steady with 4.2B revenue yielding 373.0M profit (Qtr ending Mar 2025). The 8.8% margin suggests room for growth as operations scale.

8 weeks โ†‘ 96.44%

Rubrik maintains strong momentum with a 8-week winning streak (48.54 โ†’ 95.35), delivering 96.4% gains. Despite 278.5M in revenue and - 102.1M loss (-36.7% margin) as of Qtr ending Apr 2025, the market sees potential beyond current profitability. This momentum suggests confidence in future execution.

4 weeks โ†“ -5.89%

Kroger pulls back after a 4-week decline (72.50 โ†’ 68.23), down 5.9%. Weak margins on 45.1B revenue with only 868.0M profit (1.9% margin) in Qtr ending Apr 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

4 weeks โ†“ -4.15%

Atmos Energy takes a breather following a 4-week decline (161.37 โ†’ 154.68), down 4.1%. However, fundamentals remain robust: 1.2B revenue generating 351.9M profit (29.9% margin) as of Qtr ending Dec 2024 suggests this could be a temporary setback. Value hunters take note.

9 weeks โ†‘ 2.73%
8 weeks โ†‘ 310.27%

Sezzle builds on success with a 8-week winning streak (26.01 โ†’ 106.71), delivering 310.3% gains. The financials tell a compelling story: 104.9M revenue generating 36.2M net profit (34.5% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

5 weeks โ†“ -17.82%

Veracyte sees continued selling pressure through a 5-week decline (32.38 โ†’ 26.61), down 17.8%. Weak margins on 114.5M revenue with only 7.0M profit (6.2% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

4 weeks โ†“ -11.34%
8 weeks โ†‘ 132.80%

Power Solutions shows consistent strength with a 8-week winning streak (18.20 โ†’ 42.37), delivering 132.8% gains. The financials tell a compelling story: 135.4M revenue generating 19.1M net profit (14.1% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

8 weeks โ†‘ 96.06%

Limbach Holdings builds on success with a 8-week winning streak (65.40 โ†’ 128.22), delivering 96.1% gains. With 133.1M revenue generating only 10.2M profit (7.7% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

5 weeks โ†“ -23.44%

Helmerich & Payne encounters challenges with a 5-week decline (19.92 โ†’ 15.25), down 23.4%. Weak margins on 1.0B revenue with only 3.0M profit (0.3% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

5 weeks โ†“ -19.49%

Certara sees continued selling pressure through a 5-week decline (14.11 โ†’ 11.36), down 19.5%. Weak margins on 106.0M revenue with only 4.7M profit (4.5% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

United States Market Weekly Gainers & Losers: May 26 - June 1, 2025

Top United States Stock Gainers (May 26 - June 1, 2025)

StockWeek OpenWeek CloseWeekly ChangeAvg Daily VolumeWeek Volume
$126.82 $131.78 6.87% 80.07M 400.36M
$159.32 $165.53 6.13% 7.92M 39.61M
$232.87 $242.07 5.84% 17.25M 86.24M
$235.42 $245.91 5.64% 6.22M 31.12M
$724.51 $753.47 4.63% 2.21M 11.06M
$550.00 $877.00 56.61% 29.02K 145.10K
$236.44 $279.70 20.04% 2.65M 13.23M
$410.62 $471.46 15.83% 1.65M 8.25M
$54.89 $62.17 14.54% 7.44M 37.22M
$271.57 $299.64 11.79% 741.76K 3.71M
$86.04 $112.49 34.03% 6.57M 32.86M
$21.14 $26.08 25.69% 22.02M 110.08M
$36.86 $44.00 22.77% 328.16K 1.64M
$31.42 $37.82 21.65% 7.55M 37.74M
$6.79 $7.82 17.95% 35.93M 179.64M
$1.02 $4.50 345.54% 44.06M 220.28M
$6.62 $8.34 28.70% 758.60K 3.79M
$3.27 $3.21 24.90% 58.61M 293.05M
$4.49 $5.40 23.29% 248.98K 1.24M
$10.60 $12.23 18.85% 2.13M 10.64M

Biggest United States Stock Losers (May 26 - June 1, 2025)

StockWeek OpenWeek CloseWeekly ChangeAvg Daily VolumeWeek Volume
$273.17 $265.37 -2.84% 12.84M 64.18M
$103.49 $102.30 -0.71% 13.96M 69.81M
$243.79 $242.20 -0.28% 3.53M 17.63M
$314.51 $313.85 -0.23% 2.15M 10.77M
$66.71 $66.22 -0.12% 2.55M 12.76M
$603.09 $490.28 -16.67% 1.79M 8.95M
$126.01 $103.17 -16.61% 11.27M 56.34M
$80.21 $68.28 -13.38% 3.49M 17.46M
$64.64 $55.18 -11.80% 20.13M 100.65M
$46.55 $40.34 -11.71% 22.46M 112.32M
$74.95 $65.40 -22.38% 1.63M 8.16M
$28.89 $22.31 -21.61% 22.56M 112.78M
$26.75 $21.33 -17.07% 21.05M 105.27M
$63.62 $52.64 -15.25% 1.51M 7.54M
$13.98 $11.32 -14.95% 25.38M 126.88M
$5.99 $4.16 -34.80% 29.76M 148.80M
$5.88 $4.25 -18.74% 437.59K 2.19M
$35.38 $30.13 -15.98% 5.47M 27.35M
$19.83 $16.71 -14.18% 1.46M 7.31M
$18.50 $15.42 -13.76% 2.66M 13.29M

Most Active United States Stocks During Week: May 26 - June 1, 2025

StockWeek OpenWeek CloseWeekly ChangeAvg Daily VolumeWeekly Volume
$134.15 $135.13 2.92% 239.88M 1.20B
$347.35 $346.46 2.10% 84.71M 423.57M
$126.82 $131.78 6.87% 80.07M 400.36M
$198.30 $200.85 2.86% 44.77M 223.84M
$43.79 $44.13 2.15% 33.42M 167.08M
$10.45 $10.38 0.19% 89.05M 445.24M
$20.44 $19.55 -2.49% 59.25M 296.26M
$12.04 $12.01 0.17% 45.53M 227.64M
$13.41 $13.30 1.60% 42.75M 213.77M
$9.22 $9.97 10.78% 37.58M 187.90M
$2.64 $2.23 -12.89% 139.08M 695.38M
$19.28 $16.33 -13.14% 62.43M 312.15M
$11.40 $11.41 1.97% 51.14M 255.72M
$14.97 $12.11 -13.62% 46.39M 231.96M
$15.22 $14.12 -4.14% 37.20M 186.02M
$0.79 $0.88 12.82% 146.03M 730.16M
$1.77 $1.59 -5.36% 144.97M 724.84M
$4.53 $5.10 15.65% 112.41M 562.05M
$3.78 $4.16 14.29% 98.74M 493.70M
$3.27 $3.21 24.90% 58.61M 293.05M

United States Sector Performance During Week: May 26 - June 1, 2025

Real Estate

53.28%
271 stocks
Top Performers by Market Cap:
Large Cap: HST +5.37%
Mid Cap: MAC +8.66%
Small Cap: EXPI +11.66%

Consumer Defensive

27.09%
243 stocks
Top Performers by Market Cap:
Mega Cap: COST +3.14%
Large Cap: PFGC +5.79%
Mid Cap: ELF +34.03%
Small Cap: YSG +12.91%

Technology

12.42%
789 stocks
Top Performers by Market Cap:
Mega Cap: PLTR +6.87%
Large Cap: ZS +8.50%
Mid Cap: U +25.69%
Small Cap: ETWO +24.90%

Financial Services

11.52%
1028 stocks
Top Performers by Market Cap:
Mega Cap: MA +3.91%
Large Cap: HOOD +4.72%
Mid Cap: LMND +8.34%
Small Cap: FIHL +6.33%

Communication Services

5.40%
257 stocks
Top Performers by Market Cap:
Mega Cap: META +3.26%
Large Cap: RDDT +11.50%
Mid Cap: MGNI +6.51%
Small Cap: FUBO +12.27%

Consumer Cyclical

3.76%
584 stocks
Top Performers by Market Cap:
Mega Cap: TSLA +2.10%
Large Cap: ULTA +15.83%
Small Cap: LVWR +345.54%

Healthcare

2.27%
1187 stocks
Top Performers by Market Cap:
Mega Cap: LLY +3.36%
Large Cap: RGC +56.61%
Small Cap: IMCR +17.46%

Industrials

2.15%
686 stocks
Top Performers by Market Cap:
Mega Cap: GE +5.64%
Large Cap: HEI +11.79%
Small Cap: EVEX +23.29%

Basic Materials

1.31%
262 stocks
Top Performers by Market Cap:
Mega Cap: LIN +1.89%
Large Cap: X +3.48%
Mid Cap: MP +10.67%
Small Cap: IE +5.91%

Utilities

0.75%
97 stocks
Top Performers by Market Cap:
Large Cap: NEE +4.25%
Small Cap: CTRI +12.02%

Energy

-0.40%
214 stocks
Top Performers by Market Cap:
Mega Cap: CVX +0.12%
Large Cap: FTI +4.92%
Mid Cap: LEU +12.03%
Small Cap: ACDC +28.70%

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