United States: Weekly Stock Market Performance Insight - June 2 - 8, 2025

Weekly Gainers
3,928
Weekly Losers
1,751
Average Return
3.92%
Total Stocks
5,993
View Detailed Market Cap Breakdown
Market Cap Weekly Gainers Weekly Losers Average Return Total Stocks
Mega Cap 35 12 1.18% 48
Large Cap 489 223 1.69% 719
Mid Cap 725 241 2.83% 973
Small Cap 364 129 3.54% 498

Weekly Streak Leaders for Week: June 2 - 8, 2025

Stock Streak Streak Return
9 weeks โ†‘ 56.63%

General Electric shows consistent strength with a 9-week winning streak (163.21 โ†’ 255.63), delivering 56.6% 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.

7 weeks โ†‘ 47.87%

Broadcom builds on success with a 7-week winning streak (166.99 โ†’ 246.93), delivering 47.9% 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.

3 weeks โ†“ -3.38%

McDonald's consolidates with a 3-week decline (318.11 โ†’ 307.36), down 3.4%. However, fundamentals remain robust: 6.0B revenue generating 1.9B profit (31.4% margin) as of Qtr ending Mar 2025 suggests this could be a temporary setback. Value hunters take note.

1 weeks โ†“ -14.08%

Tesla consolidates with a 1-week decline (343.50 โ†’ 295.14), down 14.1%. 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.

9 weeks โ†‘ 128.14%

Carvana shows consistent strength with a 9-week winning streak (149.67 โ†’ 341.46), delivering 128.1% 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.

9 weeks โ†‘ 109.93%

Venture Global shows consistent strength with a 9-week winning streak (7.25 โ†’ 15.22), delivering 109.9% gains. The financials tell a compelling story: 2.9B revenue generating 479.0M net profit (16.6% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

5 weeks โ†“ -8.76%

Kroger encounters challenges with a 5-week decline (72.50 โ†’ 66.15), down 8.8%. 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.

5 weeks โ†“ -5.69%

Atmos Energy sees continued selling pressure through a 5-week decline (161.37 โ†’ 152.18), down 5.7%. 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.

10 weeks โ†‘ 3.29%
9 weeks โ†‘ 407.84%

Sezzle maintains strong momentum with a 9-week winning streak (26.01 โ†’ 132.09), delivering 407.8% 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†“ -12.55%

John Wiley & Sons sees continued selling pressure through a 5-week decline (43.75 โ†’ 38.26), down 12.5%. Weak margins on 442.6M revenue with only 68.1M profit (15.4% margin) in Qtr ending Apr 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

5 weeks โ†“ -8.43%

Stride sees continued selling pressure through a 5-week decline (158.85 โ†’ 145.46), down 8.4%. However, fundamentals remain robust: 613.4M revenue generating 99.3M profit (16.2% margin) as of Qtr ending Mar 2025 suggests this could be a temporary setback. Value hunters take note.

9 weeks โ†‘ 160.93%

Power Solutions shows consistent strength with a 9-week winning streak (18.20 โ†’ 47.49), delivering 160.9% 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.

9 weeks โ†‘ 124.22%

American maintains strong momentum with a 9-week winning streak (14.04 โ†’ 31.48), delivering 124.2% gains. With 66.7M revenue generating only 1.2M profit (1.8% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

5 weeks โ†“ -19.74%

Guardian Pharmacy encounters challenges with a 5-week decline (25.73 โ†’ 20.65), down 19.7%. Weak margins on 329.3M revenue with only 9.3M profit (2.8% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

4 weeks โ†“ -29.32%

Flowco Holdings consolidates with a 4-week decline (24.01 โ†’ 16.97), down 29.3%. However, fundamentals remain robust: 192.4M revenue generating 27.0M profit (14.1% margin) as of Qtr ending Mar 2025 suggests this could be a temporary setback. Value hunters take note.

United States Market Weekly Gainers & Losers: June 2 - 8, 2025

Top United States Stock Gainers (June 2 - 8, 2025)

Stock Week Open Week Close Weekly Change Avg Daily Volume Week Volume
$644.39 $697.71 7.76% 13.2M 66.2M
$164.17 $174.02 5.13% 7.0M 35.2M
$111.06 $116.19 4.93% 32.7M 163.4M
$135.49 $141.72 4.88% 195.1M 975.7M
$62.73 $66.06 4.79% 16.7M 83.7M
$22.98 $31.19 35.20% 19.0M 95.0M
$11.63 $15.22 31.55% 10.7M 53.6M
$34.83 $48.28 31.37% 24.6M 123.0M
$60.21 $72.96 19.69% 10.5M 52.7M
$41.82 $50.17 19.40% 15.9M 79.3M
$8.27 $13.86 102.93% 197.3M 986.3M
$40.00 $47.62 60.66% 2.7M 13.3M
$6.41 $8.27 34.04% 42.4M 211.9M
$4.18 $5.49 31.34% 34.9M 174.6M
$7.19 $7.60 30.36% 72.4M 361.9M
$3.84 $5.84 52.08% 20.9M 104.4M
$0.75 $0.98 36.11% 554.1K 2.8M
$4.22 $5.97 32.67% 2.9M 14.7M
$6.71 $8.88 32.34% 3.3M 16.4M
$5.56 $7.33 30.89% 1.3M 6.4M

Biggest United States Stock Losers (June 2 - 8, 2025)

Stock Week Open Week Close Weekly Change Avg Daily Volume Week Volume
$343.50 $295.14 -14.81% 146.5M 732.4M
$169.02 $164.02 -3.46% 7.0M 34.8M
$131.43 $127.72 -3.08% 100.0M 500.1M
$1,034.27 $1,014.94 -2.43% 2.1M 10.7M
$753,280.00 $740,396.00 -2.25% 500 2.5K
$919.00 $685.85 -21.80% 31.0K 154.9K
$315.13 $265.27 -16.23% 5.7M 28.7M
$33.11 $28.11 -15.69% 9.7M 48.6M
$32.85 $28.11 -15.41% 295.3K 1.5M
$88.30 $75.28 -15.04% 7.6M 38.1M
$18.69 $13.93 -27.67% 23.3M 116.3M
$83.89 $65.40 -21.93% 4.3M 21.4M
$36.74 $29.73 -19.21% 2.5M 12.6M
$17.93 $14.88 -16.92% 9.7M 48.3M
$29.45 $24.50 -14.87% 3.7M 18.6M
$1.96 $1.36 -28.80% 627.6K 3.1M
$13.62 $11.92 -11.77% 1.3M 6.7M
$5.87 $5.21 -11.09% 8.7M 43.7M
$19.11 $17.00 -11.04% 2.6M 13.0M
$7.45 $6.62 -10.42% 7.0K 35.0K

Most Active United States Stocks During Week: June 2 - 8, 2025

Stock Week Open Week Close Weekly Change Avg Daily Volume Weekly Volume
$135.49 $141.72 4.88% 195.1M 975.7M
$343.50 $295.14 -14.81% 146.5M 732.4M
$131.43 $127.72 -3.08% 100.0M 500.1M
$200.28 $203.92 1.53% 45.4M 227.1M
$204.98 $213.57 4.18% 36.8M 183.9M
$10.27 $10.26 -1.16% 130.8M 654.2M
$19.48 $20.06 2.61% 72.4M 362.0M
$13.28 $14.24 7.07% 59.2M 295.9M
$56.93 $56.33 -0.41% 58.0M 289.9M
$66.03 $74.88 13.20% 47.3M 236.4M
$8.27 $13.86 102.93% 197.3M 986.3M
$2.26 $2.15 -3.59% 175.0M 874.9M
$7.19 $7.60 30.36% 72.4M 361.9M
$16.24 $18.62 14.02% 66.0M 330.0M
$3.44 $3.67 8.90% 64.0M 319.9M
$1.60 $1.68 5.66% 167.4M 837.2M
$0.85 $0.97 10.23% 135.0M 674.8M
$4.02 $3.85 -7.45% 114.8M 573.9M
$5.03 $6.18 21.18% 72.8M 363.9M
$1.66 $1.78 10.56% 62.2M 311.2M

United States Sector Performance During Week: June 2 - 8, 2025

Healthcare

7.54%
1179 stocks
Top Performers by Market Cap:
Mega Cap: LLY +4.37%
Large Cap: DOCS +12.98%
Small Cap: PROK +36.11%

Consumer Defensive

6.64%
243 stocks
Top Performers by Market Cap:
Mega Cap: PM +0.63%
Large Cap: DG +16.69%
Mid Cap: OLLI +7.11%
Small Cap: YSG +12.34%

Basic Materials

5.87%
262 stocks
Top Performers by Market Cap:
Mega Cap: LIN +1.10%
Large Cap: PAAS +17.47%
Mid Cap: AG +34.04%
Small Cap: CENX +26.08%

Energy

4.50%
214 stocks
Top Performers by Market Cap:
Mega Cap: SHEL +2.72%
Large Cap: VG +31.55%
Mid Cap: STR +16.87%
Small Cap: HPK +12.84%

Technology

4.10%
786 stocks
Top Performers by Market Cap:
Mega Cap: ORCL +5.13%
Large Cap: ASTS +35.20%
Small Cap: YEXT +32.34%

Industrials

2.99%
682 stocks
Top Performers by Market Cap:
Mega Cap: GE +3.95%
Large Cap: FERG +15.72%
Mid Cap: RDW +28.93%
Small Cap: PL +52.08%

Financial Services

2.90%
998 stocks
Top Performers by Market Cap:
Mega Cap: MS +2.96%
Large Cap: HOOD +13.20%
Small Cap: CIFR +25.00%

Consumer Cyclical

1.74%
583 stocks
Top Performers by Market Cap:
Mega Cap: AMZN +4.18%
Large Cap: BBY +10.17%
Mid Cap: GEF +19.53%
Small Cap: LVWR +32.67%

Real Estate

1.26%
269 stocks
Top Performers by Market Cap:
Large Cap: BXP +10.08%
Mid Cap: SLG +13.37%
Small Cap: HPP +26.34%

Communication Services

0.82%
253 stocks
Top Performers by Market Cap:
Mega Cap: META +7.76%
Large Cap: NBIS +31.37%
Small Cap: GRPN +13.08%

Utilities

-0.16%
97 stocks
Top Performers by Market Cap:
Large Cap: VST +8.13%
Mid Cap: AES +7.93%
Small Cap: STEM +14.29%

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