United States: Weekly Stock Market Performance Insight - June 30 - July 6, 2025

Weekly Gainers
4,150
Weekly Losers
1,349
Average Return
4.30%
Total Stocks
5,858
View Detailed Market Cap Breakdown
Market Cap Weekly Gainers Weekly Losers Average Return Total Stocks
Mega Cap 37 11 1.38% 48
Large Cap 553 161 2.12% 718
Mid Cap 809 157 3.24% 970
Small Cap 402 90 4.25% 496

Weekly Streak Leaders for Week: June 30 - July 6, 2025

Stock Streak Streak Return
11 weeks โ†‘ 64.79%

Broadcom dominates the market with an impressive a 11-week winning streak (166.99 โ†’ 275.18), delivering 64.8% 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.

6 weeks โ†‘ 18.78%

Nvidia maintains strong momentum with a 6-week winning streak (134.15 โ†’ 159.34), delivering 18.8% 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.

3 weeks โ†“ -2.74%

Philip Morris consolidates with a 3-week decline (183.91 โ†’ 178.88), down 2.7%. However, fundamentals remain robust: 9.3B revenue generating 2.8B profit (30.5% margin) as of Qtr ending Mar 2025 suggests this could be a temporary setback. Value hunters take note.

1 weeks โ†“ -4.23%

Advanced Micro takes a breather following a 1-week decline (144.00 โ†’ 137.91), down 4.2%. Weak margins on 7.4B revenue with only 709.0M profit (9.5% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

13 weeks โ†‘ 39.66%

Corteva dominates the market with an impressive a 13-week winning streak (55.22 โ†’ 77.12), delivering 39.7% gains. The financials tell a compelling story: 4.4B revenue generating 656.0M net profit (14.9% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

8 weeks โ†‘ 40.96%

Western Digital builds on success with a 8-week winning streak (46.88 โ†’ 66.08), delivering 41.0% gains. The financials tell a compelling story: 2.3B revenue generating 524.0M net profit (22.8% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

7 weeks โ†“ -24.32%

Duolingo navigates difficult waters with a 7-week decline (517.79 โ†’ 391.86), down 24.3%. Weak margins on 230.7M revenue with only 35.1M profit (15.2% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

7 weeks โ†“ -6.19%

FirstEnergy navigates difficult waters with a 7-week decline (42.51 โ†’ 39.88), down 6.2%. Weak margins on 3.8B revenue with only 414.0M profit (11.0% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

13 weeks โ†‘ 600.35%

Sezzle is on fire with an unstoppable a 13-week winning streak (26.01 โ†’ 182.16), delivering 600.3% 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.

13 weeks โ†‘ 77.64%

Fluor continues its remarkable run with a 13-week winning streak (29.70 โ†’ 52.76), delivering 77.6% gains. Despite 4.0B in revenue and - 232.0M loss (-5.8% margin) as of Qtr ending Mar 2025, the market sees potential beyond current profitability. This momentum suggests confidence in future execution.

7 weeks โ†“ -10.01%

Prestige Consumer navigates difficult waters with a 7-week decline (88.88 โ†’ 79.98), down 10.0%. However, fundamentals remain robust: 296.5M revenue generating 50.1M profit (16.9% margin) as of Qtr ending Mar 2025 suggests this could be a temporary setback. Value hunters take note.

6 weeks โ†“ -7.95%

Bright Horizons navigates difficult waters with a 6-week decline (131.00 โ†’ 120.58), down 8.0%. Revenue of 665.5M provides a foundation, but 38.0M net income (5.7% margin) in Qtr ending Mar 2025 highlights operational challenges that need addressing.

13 weeks โ†‘ 329.12%

Power Solutions dominates the market with an impressive a 13-week winning streak (18.20 โ†’ 78.10), delivering 329.1% 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.

13 weeks โ†‘ 128.13%

Limbach Holdings is on fire with an unstoppable a 13-week winning streak (65.40 โ†’ 149.20), delivering 128.1% 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†“ -2.69%

Morgan Stanley navigates difficult waters with a 5-week decline (19.70 โ†’ 19.17), down 2.7%. Weak margins on 31.3M revenue with only 29.7M profit (94.9% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

4 weeks โ†“ -42.37%

United States Market Weekly Gainers & Losers: June 30 - July 6, 2025

Top United States Stock Gainers (June 30 - July 6, 2025)

Stock Week Open Week Close Weekly Change Avg Daily Volume Week Volume
$226.50 $237.32 12.88% 17.9M 89.6M
$202.01 $213.55 6.20% 54.7M 273.6M
$80.48 $83.60 5.16% 13.8M 69.1M
$47.62 $48.93 3.84% 33.2M 166.1M
$182.43 $189.28 3.82% 4.2M 20.8M
$16.67 $22.99 32.13% 4.4M 21.8M
$37.66 $47.91 28.62% 2.6M 13.1M
$161.63 $185.03 21.62% 5.4M 27.2M
$133.37 $155.15 17.47% 8.5M 42.7M
$20.69 $21.34 15.92% 25.3M 126.4M
$11.16 $13.77 24.17% 4.8M 24.1M
$17.57 $21.13 22.21% 22.1M 110.3M
$11.19 $13.45 21.50% 35.4M 177.2M
$11.69 $14.10 20.62% 5.1M 25.5M
$14.53 $16.82 20.14% 30.3M 151.6M
$0.19 $0.26 62.50% 5.0K 24.8K
$4.35 $6.05 42.02% 56.7M 283.4M
$7.88 $10.50 41.32% 26.0M 129.9M
$6.33 $8.41 36.97% 6.4M 31.9M
$7.71 $10.41 35.90% 587.9K 2.9M

Biggest United States Stock Losers (June 30 - July 6, 2025)

Stock Week Open Week Close Weekly Change Avg Daily Volume Week Volume
$144.00 $137.91 -4.10% 33.2M 166.1M
$256.31 $246.88 -3.00% 4.9M 24.6M
$319.90 $315.35 -2.56% 79.8M 399.0M
$744.55 $719.01 -1.99% 9.4M 46.8M
$1,331.00 $1,297.18 -1.96% 2.7M 13.3M
$53.83 $33.31 -38.30% 28.6M 143.1M
$295.92 $239.58 -19.35% 1.1M 5.5M
$114.01 $98.90 -13.25% 2.4K 12.1K
$40.62 $37.26 -9.52% 4.8M 23.9M
$381.01 $347.84 -8.82% 2.0M 10.2M
$21.14 $16.47 -19.30% 28.6M 143.2M
$28.16 $24.01 -16.52% 2.4M 12.1M
$12.15 $10.03 -16.21% 32.7K 163.7K
$506.52 $473.18 -15.41% 271.2K 1.4M
$65.21 $54.45 -14.60% 2.2M 10.9M
$5.22 $5.03 -13.57% 82 412
$8.67 $7.59 -12.15% 1.7M 8.7M
$18.95 $16.78 -11.40% 1.9M 9.4M
$4.06 $3.60 -10.89% 5.4M 27.1M
$15.80 $14.13 -10.74% 1.5M 7.5M

Most Active United States Stocks During Week: June 30 - July 6, 2025

Stock Week Open Week Close Weekly Change Avg Daily Volume Weekly Volume
$158.40 $159.34 1.01% 144.5M 722.7M
$319.90 $315.35 -2.56% 79.8M 399.0M
$137.79 $134.36 2.77% 58.1M 290.3M
$202.01 $213.55 6.20% 54.7M 273.6M
$144.00 $137.91 -4.10% 33.2M 166.1M
$10.72 $11.81 9.35% 82.3M 411.3M
$85.65 $94.40 13.69% 78.5M 392.7M
$22.97 $22.49 -0.88% 71.1M 355.6M
$17.73 $18.57 8.09% 70.9M 354.4M
$13.43 $13.60 2.64% 59.9M 299.3M
$2.14 $2.16 1.89% 130.2M 651.0M
$15.22 $17.66 17.50% 40.6M 202.8M
$10.06 $11.09 12.82% 37.1M 185.7M
$14.12 $16.79 19.76% 37.1M 185.3M
$11.19 $13.45 21.50% 35.4M 177.2M
$6.28 $7.75 32.71% 237.5M 1.2B
$1.30 $1.47 26.72% 99.0M 495.1M
$1.80 $1.82 1.68% 63.4M 316.8M
$4.35 $6.05 42.02% 56.7M 283.4M
$4.29 $5.26 24.64% 53.6M 268.1M

United States Sector Performance During Week: June 30 - July 6, 2025

Technology

6.67%
783 stocks
Top Performers by Market Cap:
Mega Cap: ORCL +12.88%
Large Cap: FSLR +21.62%
Small Cap: RUN +41.32%

Communication Services

5.90%
249 stocks
Top Performers by Market Cap:
Mega Cap: TMUS +2.34%
Large Cap: RCI +10.28%
Small Cap: PLAY +13.46%

Basic Materials

5.31%
259 stocks
Top Performers by Market Cap:
Mega Cap: LIN +2.54%
Large Cap: DD +7.03%
Mid Cap: CLF +18.87%
Small Cap: AMR +11.21%

Consumer Cyclical

4.61%
574 stocks
Top Performers by Market Cap:
Mega Cap: MCD +0.87%
Large Cap: SW +11.54%
Mid Cap: WHR +14.31%
Small Cap: TRIP +34.00%

Healthcare

4.60%
1167 stocks
Top Performers by Market Cap:
Mega Cap: ABBV +3.82%
Large Cap: RGC +32.13%
Small Cap: BSGM +35.90%

Industrials

3.81%
678 stocks
Top Performers by Market Cap:
Mega Cap: GE -3.00%
Large Cap: SYM +28.62%
Mid Cap: GMS +12.71%
Small Cap: PLUG +26.72%

Financial Services

3.72%
981 stocks
Top Performers by Market Cap:
Mega Cap: WFC +5.16%
Large Cap: HOOD +13.69%
Mid Cap: BUR +20.62%
Small Cap: CIFR +42.02%

Consumer Defensive

3.62%
241 stocks
Top Performers by Market Cap:
Mega Cap: KO +1.45%
Large Cap: EL +10.78%
Small Cap: KLG +9.50%

Utilities

2.62%
97 stocks
Top Performers by Market Cap:
Large Cap: NEE +4.22%
Mid Cap: RNW +12.63%
Small Cap: FLNC +36.97%

Real Estate

2.00%
268 stocks
Top Performers by Market Cap:
Large Cap: DOC +4.95%
Mid Cap: CWK +6.47%
Small Cap: CCS +6.40%

Energy

1.66%
212 stocks
Top Performers by Market Cap:
Mega Cap: CVX +3.19%
Large Cap: VLO +7.34%
Mid Cap: PBF +10.35%
Small Cap: PARR +18.23%

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