United States: Weekly Stock Market Performance Insight - September 15 - 21, 2025

Weekly Gainers
2,905
Weekly Losers
2,440
Average Return
2.11%
Total Stocks
5,635
View Detailed Market Cap Breakdown
Market Cap Weekly Gainers Weekly Losers Average Return Total Stocks
Mega Cap 30 21 1.55% 51
Large Cap 344 365 0.56% 714
Mid Cap 468 493 0.94% 969
Small Cap 257 210 1.76% 471

Weekly Streak Leaders for Week: September 15 - 21, 2025

Stock Streak Streak Return
7 weeks โ†‘ 33.86%

Alphabet builds on success with a 7-week winning streak (190.29 โ†’ 254.72), delivering 33.9% gains. The financials tell a compelling story: 96.4B revenue generating 28.2B net profit (29.2% margin) demonstrates exceptional profit margins as of Qtr ending Jun 2025.

5 weeks โ†‘ 48.30%

Applovin gains traction with a 5-week winning streak (438.01 โ†’ 649.59), delivering 48.3% gains. The financials tell a compelling story: 1.5B revenue generating 576.4M net profit (38.8% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

4 weeks โ†“ -5.25%

Coca-Cola takes a breather following a 4-week decline (70.11 โ†’ 66.43), down 5.2%. However, fundamentals remain robust: 11.1B revenue generating 3.3B profit (30.0% margin) as of Qtr ending Mar 2025 suggests this could be a temporary setback. Value hunters take note.

4 weeks โ†“ -3.99%

Walt Disney pulls back after a 4-week decline (118.49 โ†’ 113.76), down 4.0%. Revenue of 23.6B provides a foundation, but 5.9B net income (25.1% margin) in Qtr ending Jun 2025 highlights operational challenges that need addressing.

9 weeks โ†‘ 234.63%

Bloom Energy shows consistent strength with a 9-week winning streak (25.38 โ†’ 84.93), delivering 234.6% gains. Despite 326.0M in revenue and - 23.4M loss (-7.2% margin) as of Qtr ending Mar 2025, the market sees potential beyond current profitability. This momentum suggests confidence in future execution.

9 weeks โ†‘ 24.86%

Jones Lang LaSalle shows consistent strength with a 9-week winning streak (255.06 โ†’ 318.48), delivering 24.9% gains. With 6.8B revenue generating only 241.9M profit (3.6% margin) in Qtr ending Dec 2024, the market prices in future margin expansion potential.

6 weeks โ†“ -18.64%

Pilgrim's Pride encounters challenges with a 6-week decline (50.01 โ†’ 40.69), down 18.6%. Weak margins on 4.5B revenue with only 296.3M profit (6.6% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

6 weeks โ†“ -17.96%

Dollar Tree navigates difficult waters with a 6-week decline (116.12 โ†’ 95.26), down 18.0%. Weak margins on 4.6B revenue with only 188.4M profit (4.1% margin) in Qtr ending Jul 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

10 weeks โ†‘ 77.87%

Resideo Technologies dominates the market with an impressive a 10-week winning streak (23.63 โ†’ 42.03), delivering 77.9% gains. With 1.8B revenue generating only 6.0M profit (0.3% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

10 weeks โ†‘ 27.61%

Buckle dominates the market with an impressive a 10-week winning streak (47.56 โ†’ 60.69), delivering 27.6% gains. The financials tell a compelling story: 272.1M revenue generating 35.2M net profit (12.9% margin) demonstrates exceptional profit margins as of Qtr ending Apr 2025.

8 weeks โ†“ -19.11%

Virginia State faces persistent headwinds with a 8-week decline (138.56 โ†’ 112.08), down 19.1%. However, fundamentals remain robust: 513.0M revenue generating 175.5M profit (34.2% margin) as of Qtr ending Jun 2025 suggests this could be a temporary setback. Value hunters take note.

6 weeks โ†“ -63.47%
9 weeks โ†‘ 33.07%

Trimas maintains strong momentum with a 9-week winning streak (30.00 โ†’ 39.92), delivering 33.1% gains. With 241.7M revenue generating only 12.4M profit (5.1% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

9 weeks โ†‘ 19.20%

IDT builds on success with a 9-week winning streak (56.15 โ†’ 66.93), delivering 19.2% gains. With 302.0M revenue generating only 23.0M profit (7.6% margin) in Qtr ending Apr 2025, the market prices in future margin expansion potential.

9 weeks โ†“ -44.08%

Gogo faces persistent headwinds with a 9-week decline (15.88 โ†’ 8.88), down 44.1%. Weak margins on 230.3M revenue with only 12.0M profit (5.2% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

4 weeks โ†“ -15.84%

ManpowerGroup consolidates with a 4-week decline (44.37 โ†’ 37.34), down 15.8%. Weak margins on 4.1B revenue with only 5.6M profit (0.1% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

United States Market Weekly Gainers & Losers: September 15 - 21, 2025

Top United States Stock Gainers (September 15 - 21, 2025)

Stock Week Open Week Close Weekly Change Avg Daily Volume Week Volume
$578.54 $649.59 11.61% 21.2M 106.1M
$433.83 $466.54 8.12% 3.7M 18.5M
$423.13 $426.07 7.61% 111.5M 557.5M
$281.99 $301.14 6.90% 5.4M 27.0M
$169.60 $182.39 6.39% 65.8M 329.0M
$84.25 $135.23 63.50% 30.7M 153.4M
$56.88 $70.41 26.61% 42.3M 211.7M
$68.00 $84.93 26.27% 14.7M 73.5M
$24.33 $29.58 22.84% 191.3M 956.3M
$47.89 $57.05 19.48% 2.6M 12.9M
$17.70 $26.88 51.35% 78.8M 393.8M
$14.30 $21.31 49.65% 3.8M 18.9M
$19.08 $28.52 49.40% 81.3M 406.5M
$15.17 $20.71 38.16% 15.1M 75.4M
$17.22 $23.27 36.80% 45.1M 225.7M
$8.11 $14.87 84.26% 23.1M 115.5M
$8.40 $11.77 44.77% 13.6M 68.2M
$1.56 $2.18 43.42% 122.6M 613.1M
$33.80 $46.31 40.08% 5.6M 27.9M
$2.53 $3.12 39.91% 153.9M 769.5M

Biggest United States Stock Losers (September 15 - 21, 2025)

Stock Week Open Week Close Weekly Change Avg Daily Volume Week Volume
$351.26 $336.69 -4.49% 11.4M 57.0M
$359.87 $344.94 -4.15% 30.8M 154.1M
$165.51 $162.95 -1.90% 6.9M 34.5M
$116.11 $113.76 -1.90% 10.8M 54.2M
$29.61 $29.01 -1.89% 35.6M 177.8M
$27.40 $22.97 -23.94% 261.9K 1.3M
$363.33 $289.15 -20.09% 1.4M 7.0M
$213.30 $184.73 -13.11% 2.7M 13.7M
$142.01 $124.15 -13.02% 2.5M 12.5M
$76.44 $67.45 -11.51% 9.1M 45.7M
$60.81 $53.18 -12.03% 2.8M 13.8M
$11.52 $10.22 -11.59% 7.4M 37.1M
$156.08 $136.35 -11.27% 1.8M 8.8M
$3,938.02 $3,500.20 -11.23% 3.5K 17.3K
$158.00 $141.71 -10.51% 1.5M 7.6M
$51.51 $43.50 -14.99% 2.7M 13.3M
$26.66 $22.46 -14.96% 2.0M 9.9M
$29.57 $25.43 -14.20% 701.3K 3.5M
$10.80 $9.80 -10.09% 5.3M 26.4M
$9.94 $8.88 -9.30% 3.2M 15.8M

Most Active United States Stocks During Week: September 15 - 21, 2025

Stock Week Open Week Close Weekly Change Avg Daily Volume Weekly Volume
$175.67 $176.67 -0.65% 185.6M 928.1M
$423.13 $426.07 7.61% 111.5M 557.5M
$237.00 $245.50 4.88% 72.1M 360.3M
$169.60 $182.39 6.39% 65.8M 329.0M
$230.63 $231.48 1.46% 50.0M 250.0M
$24.33 $29.58 22.84% 191.3M 956.3M
$7.27 $8.16 11.17% 170.4M 851.9M
$5.90 $6.39 6.50% 96.0M 480.0M
$6.46 $7.37 18.49% 95.5M 477.3M
$18.77 $19.33 2.44% 92.4M 462.2M
$9.76 $9.57 5.51% 355.7M 1.8B
$12.94 $12.45 -3.56% 98.5M 492.5M
$16.24 $18.29 12.14% 83.0M 414.9M
$2.35 $2.67 12.66% 81.9M 409.4M
$19.08 $28.52 49.40% 81.3M 406.5M
$2.53 $3.12 39.91% 153.9M 769.5M
$5.18 $6.85 35.38% 146.0M 730.1M
$1.56 $2.18 43.42% 122.6M 613.1M
$1.12 $1.21 8.04% 38.5M 192.7M
$2.39 $2.39 0.42% 29.5M 147.6M

United States Sector Performance During Week: September 15 - 21, 2025

Technology

5.64%
754 stocks
Top Performers by Market Cap:
Mega Cap: PLTR +6.39%
Large Cap: IONQ +26.61%
Small Cap: BBAI +35.38%

Energy

2.83%
205 stocks
Top Performers by Market Cap:
Mega Cap: XOM +0.59%
Large Cap: CCJ +10.33%
Mid Cap: LEU +32.58%
Small Cap: SEI +21.11%

Financial Services

2.46%
925 stocks
Top Performers by Market Cap:
Mega Cap: AXP +4.86%
Large Cap: SOFI +11.15%
Small Cap: BITF +39.91%

Industrials

2.34%
662 stocks
Top Performers by Market Cap:
Mega Cap: CAT +8.12%
Large Cap: BE +26.27%
Mid Cap: SMR +28.70%
Small Cap: AMPX +44.77%

Communication Services

1.97%
242 stocks
Top Performers by Market Cap:
Mega Cap: APP +11.61%
Large Cap: SNAP +11.17%
Small Cap: ATUS +12.55%

Consumer Defensive

1.94%
239 stocks
Top Performers by Market Cap:
Mega Cap: KO -0.87%
Large Cap: EL +4.96%
Mid Cap: OLLI +4.52%
Small Cap: COUR +6.20%

Basic Materials

1.78%
250 stocks
Top Performers by Market Cap:
Mega Cap: LIN -0.63%
Large Cap: MP +15.29%
Mid Cap: AMR +16.24%
Small Cap: METC +25.44%

Healthcare

1.07%
1116 stocks
Top Performers by Market Cap:
Mega Cap: ABBV +1.89%
Large Cap: ILMN +8.02%
Small Cap: ETNB +84.26%

Utilities

0.85%
95 stocks
Top Performers by Market Cap:
Large Cap: OKLO +63.50%
Mid Cap: TAC +7.91%
Small Cap: FLNC +33.71%

Consumer Cyclical

0.20%
554 stocks
Top Performers by Market Cap:
Mega Cap: TSLA +7.61%
Large Cap: NIO +18.49%
Mid Cap: QS +34.87%
Small Cap: EYE +17.09%

Real Estate

-1.03%
266 stocks
Top Performers by Market Cap:
Large Cap: IRM +3.31%
Mid Cap: OPEN +5.51%
Small Cap: AIV +4.53%

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