United States: Weekly Stock Market Performance Insight - September 22 - 28, 2025

Weekly Gainers
2,275
Weekly Losers
3,077
Average Return
1.21%
Total Stocks
5,626
View Detailed Market Cap Breakdown
Market Cap Weekly Gainers Weekly Losers Average Return Total Stocks
Mega Cap 21 29 -0.30% 50
Large Cap 350 370 -0.22% 722
Mid Cap 402 578 0.08% 984
Small Cap 190 266 -0.02% 463

Weekly Streak Leaders for Week: September 22 - 28, 2025

Stock Streak Streak Return
6 weeks โ†‘ 52.93%

Applovin builds on success with a 6-week winning streak (438.01 โ†’ 669.86), delivering 52.9% 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.

6 weeks โ†‘ 18.68%

International shows consistent strength with a 6-week winning streak (239.57 โ†’ 284.31), delivering 18.7% gains. Financial performance remains steady with 17.0B revenue yielding 2.2B profit (Qtr ending Jun 2025). The 12.9% margin suggests room for growth as operations scale.

5 weeks โ†“ -6.33%

Coca-Cola encounters challenges with a 5-week decline (70.11 โ†’ 65.67), down 6.3%. 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.

5 weeks โ†“ -4.24%

Walt Disney encounters challenges with a 5-week decline (118.49 โ†’ 113.47), down 4.2%. 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.

8 weeks โ†‘ 109.31%

Coeur Mining maintains strong momentum with a 8-week winning streak (8.81 โ†’ 18.44), delivering 109.3% gains. Financial performance remains steady with 360.1M revenue yielding 33.4M profit (Qtr ending Mar 2025). The 9.3% margin suggests room for growth as operations scale.

8 weeks โ†‘ 35.00%

Newmont shows consistent strength with a 8-week winning streak (63.15 โ†’ 85.25), delivering 35.0% gains. The financials tell a compelling story: 5.0B revenue generating 1.9B net profit (38.0% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

7 weeks โ†“ -18.14%

Dollar Tree navigates difficult waters with a 7-week decline (116.12 โ†’ 95.06), down 18.1%. 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.

7 weeks โ†“ -16.65%

Target sees continued selling pressure through a 7-week decline (105.40 โ†’ 87.85), down 16.7%. Weak margins on 23.8B revenue with only 1.0B profit (4.3% margin) in Qtr ending Apr 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

10 weeks โ†‘ 3.29%
9 weeks โ†‘ 103.85%

Arrowhead maintains strong momentum with a 9-week winning streak (16.09 โ†’ 32.80), delivering 103.9% gains. With 542.7M revenue generating only 367.9M profit (67.8% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

9 weeks โ†“ -19.90%

Virginia State struggles to find footing after a 9-week decline (138.56 โ†’ 110.98), down 19.9%. 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.

7 weeks โ†“ -26.07%

Cava encounters challenges with a 7-week decline (84.69 โ†’ 62.61), down 26.1%. Revenue of 280.6M provides a foundation, but 18.4M net income (6.5% margin) in Qtr ending Jun 2025 highlights operational challenges that need addressing.

8 weeks โ†‘ 116.36%

Ameresco shows consistent strength with a 8-week winning streak (16.08 โ†’ 34.79), delivering 116.4% gains. While revenue hits 472.3M, net income of 15.5M (3.3% margin) in Qtr ending Jun 2025 shows the company is focusing on growth over margins - typical for expanding Industrials players.

8 weeks โ†‘ 63.39%

Sally Beauty builds on success with a 8-week winning streak (9.78 โ†’ 15.98), delivering 63.4% gains. With 883.1M revenue generating only 39.2M profit (4.4% margin) in Qtr ending Mar 2025, the market prices in future margin expansion potential.

5 weeks โ†“ -22.33%

Limbach Holdings encounters challenges with a 5-week decline (119.75 โ†’ 93.01), down 22.3%. Weak margins on 133.1M revenue with only 10.2M profit (7.7% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

5 weeks โ†“ -18.16%

Vericel sees continued selling pressure through a 5-week decline (36.94 โ†’ 30.23), down 18.2%. Financial struggles compound the decline: despite 52.6M revenue, - 11.2M losses persist (-21.4% margin) as of Qtr ending Mar 2025. Until profitability improves, caution remains warranted.

United States Market Weekly Gainers & Losers: September 22 - 28, 2025

Top United States Stock Gainers (September 22 - 28, 2025)

Stock Week Open Week Close Weekly Change Avg Daily Volume Week Volume
$266.62 $284.31 6.72% 6.8M 34.2M
$248.30 $255.46 4.06% 61.9M 309.3M
$112.45 $117.22 3.90% 17.9M 89.3M
$70.75 $73.40 3.69% 4.1M 20.6M
$431.11 $440.40 3.36% 94.3M 471.7M
$29.67 $35.50 20.01% 197.0M 984.8M
$126.46 $135.31 12.90% 4.2M 21.1M
$289.45 $326.39 12.20% 1.6M 8.0M
$73.35 $83.17 12.00% 32.4M 161.9M
$13.22 $14.83 11.92% 7.7M 38.7M
$13.90 $54.31 291.56% 20.3M 101.6M
$52.55 $52.25 56.81% 6.9M 34.3M
$86.79 $119.40 44.13% 517.6K 2.6M
$34.07 $45.91 35.39% 3.2M 16.0M
$70.72 $90.50 31.71% 1.6M 8.2M
$3.23 $6.33 94.77% 130.3M 651.6M
$11.10 $10.44 47.67% 11.0M 55.2M
$9.47 $11.99 26.21% 2.3M 11.7M
$23.14 $28.94 25.06% 324.6K 1.6M
$42.15 $52.44 24.21% 546.4K 2.7M

Biggest United States Stock Losers (September 22 - 28, 2025)

Stock Week Open Week Close Weekly Change Avg Daily Volume Week Volume
$309.63 $283.46 -8.16% 35.7M 178.7M
$230.56 $219.78 -5.05% 52.0M 260.2M
$781.85 $743.75 -4.45% 10.3M 51.7M
$947.38 $915.95 -3.70% 3.2M 16.0M
$748.56 $724.54 -3.65% 3.3M 16.4M
$44.83 $35.75 -20.45% 49.2M 245.9M
$239.88 $197.78 -19.34% 7.1M 35.4M
$130.85 $110.53 -18.27% 32.6M 163.2M
$91.02 $76.03 -17.52% 6.6M 32.9M
$83.73 $70.32 -17.20% 18.7M 93.4M
$58.42 $44.86 -23.22% 10.1M 50.7M
$44.70 $38.00 -18.75% 19.6M 98.2M
$4.67 $4.63 -18.20% 5.4M 26.8M
$41.56 $34.64 -18.11% 4.3M 21.7M
$56.28 $47.66 -16.34% 1.9M 9.5M
$4.24 $2.44 -43.26% 14.1M 70.5M
$2.60 $1.98 -20.80% 11.6M 58.0M
$33.52 $27.83 -19.71% 2.9M 14.3M
$3.08 $2.54 -18.59% 90.0M 450.2M
$42.44 $34.94 -17.96% 35.1K 175.4K

Most Active United States Stocks During Week: September 22 - 28, 2025

Stock Week Open Week Close Weekly Change Avg Daily Volume Weekly Volume
$175.30 $178.19 0.86% 189.1M 945.7M
$431.11 $440.40 3.36% 94.3M 471.7M
$248.30 $255.46 4.06% 61.9M 309.3M
$180.88 $177.57 -2.64% 54.0M 270.2M
$230.56 $219.78 -5.05% 52.0M 260.2M
$29.67 $35.50 20.01% 197.0M 984.8M
$8.98 $8.27 1.35% 183.4M 916.8M
$26.33 $31.18 9.33% 112.4M 561.9M
$7.37 $7.04 -4.48% 94.2M 471.1M
$11.60 $12.01 3.36% 71.9M 359.6M
$9.17 $8.81 -7.94% 289.9M 1.4B
$2.19 $2.37 8.72% 196.1M 980.3M
$6.78 $6.73 -1.75% 134.7M 673.3M
$2.70 $2.77 3.75% 109.1M 545.7M
$12.38 $11.31 -9.16% 88.3M 441.6M
$3.23 $6.33 94.77% 130.3M 651.6M
$3.08 $2.54 -18.59% 90.0M 450.2M
$1.20 $1.15 -4.96% 44.7M 223.4M
$2.38 $2.52 5.44% 24.2M 121.1M
$10.40 $10.14 -3.06% 18.9M 94.5M

United States Sector Performance During Week: September 22 - 28, 2025

Healthcare

6.66%
1111 stocks
Top Performers by Market Cap:
Mega Cap: UNH +2.19%
Large Cap: CNC +9.73%
Small Cap: SION +25.06%

Energy

5.68%
204 stocks
Top Performers by Market Cap:
Mega Cap: XOM +3.90%
Large Cap: VG +11.92%
Mid Cap: CRK +16.63%
Small Cap: TALO +14.67%

Basic Materials

2.03%
251 stocks
Top Performers by Market Cap:
Mega Cap: LIN -0.96%
Large Cap: CF +8.27%
Small Cap: LAC +94.77%

Utilities

1.97%
95 stocks
Top Performers by Market Cap:
Large Cap: XEL +9.94%
Small Cap: NWN +4.98%

Financial Services

-0.06%
925 stocks
Top Performers by Market Cap:
Mega Cap: BRK.B +1.46%
Large Cap: IREN +8.33%
Mid Cap: SII +12.09%
Small Cap: SLVR +10.21%

Industrials

-0.39%
662 stocks
Top Performers by Market Cap:
Mega Cap: RTX +3.23%
Large Cap: AVAV +8.13%
Mid Cap: CXT +15.23%
Small Cap: AMRC +12.92%

Consumer Defensive

-0.70%
239 stocks
Top Performers by Market Cap:
Mega Cap: PM +1.19%
Large Cap: BG +3.54%
Mid Cap: ATGE +8.24%
Small Cap: UTI +12.58%

Real Estate

-0.80%
266 stocks
Top Performers by Market Cap:
Large Cap: WELL +5.88%
Mid Cap: RYN +2.88%
Small Cap: HOUS +47.67%

Consumer Cyclical

-0.89%
554 stocks
Top Performers by Market Cap:
Mega Cap: TSLA +3.36%
Large Cap: RIVN +8.41%
Small Cap: RERE +12.38%

Communication Services

-1.00%
242 stocks
Top Performers by Market Cap:
Mega Cap: APP +3.12%
Large Cap: EA +11.70%
Small Cap: IAS +19.81%

Technology

-1.31%
753 stocks
Top Performers by Market Cap:
Mega Cap: IBM +6.72%
Large Cap: INTC +20.01%
Mid Cap: BB +17.81%
Small Cap: PDFS +18.67%

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