United States: Weekly Stock Market Performance Insight - April 13 - 19, 2026

Weekly Gainers
3,915
Weekly Losers
1,008
Average Return
5.91%
Total Stocks
5,257
View Detailed Market Cap Breakdown
Market Cap Weekly Gainers Weekly Losers Average Return Total Stocks
Mega Cap 38 16 3.60% 54
Large Cap 563 163 4.23% 727
Mid Cap 813 172 5.09% 991
Small Cap 389 72 6.37% 463

Weekly Streak Leaders for Week: April 13 - 19, 2026

Stock Streak Streak Return
6 weeks โ†‘ 47.02%

Advanced Micro maintains strong momentum with a 6-week winning streak (189.36 โ†’ 278.39), delivering 47.0% gains. Financial performance remains steady with 10.3B revenue yielding 1.5B profit (Qtr ending Dec 2025). The 14.7% margin suggests room for growth as operations scale.

6 weeks โ†‘ 28.14%

GE Vernova builds on success with a 6-week winning streak (782.53 โ†’ 1,002.75), delivering 28.1% gains. With 11.0B revenue generating only 3.7B profit (33.5% margin) in Qtr ending Dec 2025, the market prices in future margin expansion potential.

3 weeks โ†“ -15.11%

Exxon Mobil takes a breather following a 3-week decline (172.51 โ†’ 146.44), down 15.1%. Weak margins on 80.0B revenue with only 6.6B profit (8.3% margin) in Qtr ending Dec 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

3 weeks โ†“ -13.73%

Chevron pulls back after a 3-week decline (213.26 โ†’ 183.99), down 13.7%. Weak margins on 45.8B revenue with only 2.8B profit (6.2% margin) in Qtr ending Dec 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

6 weeks โ†‘ 107.14%

Tower Semiconductor builds on success with a 6-week winning streak (109.32 โ†’ 226.45), delivering 107.1% gains. Financial performance remains steady with 440.2M revenue yielding 80.1M profit (Qtr ending Dec 2025). The 18.2% margin suggests room for growth as operations scale.

6 weeks โ†‘ 75.28%

Ciena shows consistent strength with a 6-week winning streak (289.49 โ†’ 507.43), delivering 75.3% gains. With 1.4B revenue generating only 19.5M profit (1.4% margin) in Qtr ending Oct 2025, the market prices in future margin expansion potential.

9 weeks โ†“ -29.85%

Aptiv PLC struggles to find footing after a 9-week decline (84.99 โ†’ 59.62), down 29.9%. Weak margins on 5.2B revenue with only 147.0M profit (2.9% margin) in Qtr ending Dec 2025 validate market skepticism. Structural improvements needed before sentiment shifts.

10 weeks โ†‘ 3.29%
6 weeks โ†“ -63.47%
9 weeks โ†‘ 82.54%
3 weeks โ†“ -12.94%

Viridian pulls back after a 3-week decline (17.00 โ†’ 14.80), down 12.9%. Financial struggles compound the decline: despite 132,000 revenue, - 120.4M losses persist (-91178.0% margin) as of Qtr ending Dec 2025. Until profitability improves, caution remains warranted.

3 weeks โ†“ -30.45%

United States Market Weekly Gainers & Losers: April 13 - 19, 2026

Top United States Stock Gainers (April 13 - 19, 2026)

Stock Week Open Week Close Weekly Change Avg Daily Volume Week Volume
$139.77 $175.06 26.77% 49.0M 244.8M
$350.07 $400.62 14.81% 76.3M 381.3M
$130.23 $146.39 14.31% 52.2M 261.1M
$373.61 $422.79 14.00% 41.6M 207.8M
$245.03 $278.39 13.61% 34.7M 173.5M
$288.00 $493.86 64.65% 5.9M 29.7M
$28.25 $46.09 60.09% 61.7M 308.3M
$132.26 $148.63 54.13% 9.1M 45.3M
$123.66 $160.69 34.37% 11.3M 56.5M
$49.00 $66.81 32.96% 18.3M 91.5M
$14.08 $21.69 52.21% 59.0M 295.1M
$15.15 $22.83 49.41% 3.6M 17.8M
$19.33 $28.82 48.33% 45.8M 229.0M
$67.00 $73.01 42.35% 3.1M 15.6M
$28.69 $40.77 40.78% 5.7M 28.6M
$14.20 $24.62 73.62% 6.9M 34.6M
$10.87 $16.40 50.46% 87.8K 439.1K
$4.49 $6.43 43.21% 4.8M 24.0M
$8.51 $12.56 41.60% 21.1M 105.7M
$2.09 $2.89 35.05% 33.4M 167.2M

Biggest United States Stock Losers (April 13 - 19, 2026)

Stock Week Open Week Close Weekly Change Avg Daily Volume Week Volume
$103.03 $97.31 -5.53% 59.0M 295.2M
$93.03 $87.81 -4.77% 6.7M 33.3M
$84.59 $81.41 -4.67% 24.7M 123.6M
$154.27 $146.44 -3.98% 19.4M 96.9M
$201.75 $196.42 -2.55% 4.0M 19.9M
$13.34 $11.46 -11.64% 22.0M 109.9M
$73.00 $65.62 -10.15% 5.5M 27.6M
$75.50 $66.27 -10.11% 7.5M 37.5M
$93.05 $85.53 -9.87% 20.5M 102.3M
$41.19 $38.94 -9.61% 5.3M 26.7M
$154.14 $115.54 -25.57% 1.2M 5.8M
$75.74 $57.85 -24.09% 1.9M 9.5M
$8.45 $7.30 -14.92% 28.6M 142.8M
$46.86 $40.88 -12.50% 6.7M 33.4M
$41.36 $37.23 -10.80% 1.3M 6.3M
$14.58 $12.47 -13.28% 1.6M 8.2M
$444.29 $389.45 -12.31% 90.1K 450.3K
$20.26 $18.06 -11.17% 131.0K 655.2K
$92.51 $83.59 -9.36% 123.2K 616.0K
$7.70 $6.84 -9.28% 3.8M 19.0M

Most Active United States Stocks During Week: April 13 - 19, 2026

Stock Week Open Week Close Weekly Change Avg Daily Volume Weekly Volume
$186.03 $201.68 6.92% 154.8M 774.1M
$62.18 $68.50 9.81% 108.8M 543.8M
$350.07 $400.62 14.81% 76.3M 381.3M
$103.03 $97.31 -5.53% 59.0M 295.2M
$130.23 $146.39 14.31% 52.2M 261.1M
$4.76 $6.03 25.10% 87.1M 435.3M
$16.00 $19.43 19.79% 65.0M 325.1M
$3.65 $4.21 14.40% 64.3M 321.3M
$28.25 $46.09 60.09% 61.7M 308.3M
$68.21 $90.75 31.16% 47.8M 238.9M
$2.73 $2.78 1.46% 71.2M 355.8M
$11.00 $12.78 12.90% 66.8M 333.8M
$14.08 $21.69 52.21% 59.0M 295.1M
$9.06 $12.65 37.35% 52.3M 261.5M
$9.01 $10.00 9.53% 51.8M 258.8M
$2.09 $2.89 35.05% 33.4M 167.2M
$3.27 $3.85 15.96% 33.1M 165.7M
$8.51 $12.56 41.60% 21.1M 105.7M
$1.66 $1.68 0.60% 18.9M 94.4M
$2.65 $2.48 -3.50% 17.6M 88.2M

United States Sector Performance During Week: April 13 - 19, 2026

Technology

10.04%
713 stocks
Top Performers by Market Cap:
Mega Cap: ORCL +26.77%
Large Cap: IONQ +60.09%
Small Cap: MOVE +50.46%

Communication Services

9.34%
223 stocks
Top Performers by Market Cap:
Mega Cap: META +9.32%
Large Cap: SNAP +25.10%
Mid Cap: RUM +26.65%
Small Cap: GENI +24.74%

Healthcare

7.91%
1022 stocks
Top Performers by Market Cap:
Mega Cap: UNH +6.67%
Large Cap: RVMD +54.13%
Small Cap: AVNS +73.62%

Consumer Cyclical

6.33%
516 stocks
Top Performers by Market Cap:
Mega Cap: TSLA +14.81%
Large Cap: DASH +20.52%
Small Cap: REAL +24.66%

Financial Services

4.62%
855 stocks
Top Performers by Market Cap:
Mega Cap: MS +6.29%
Large Cap: HOOD +31.16%
Small Cap: BITF +35.05%

Industrials

3.84%
643 stocks
Top Performers by Market Cap:
Mega Cap: GEV +1.15%
Large Cap: CAR +64.65%
Mid Cap: SMR +37.35%
Small Cap: NNE +24.52%

Basic Materials

3.74%
238 stocks
Top Performers by Market Cap:
Mega Cap: LIN -2.17%
Large Cap: MP +10.41%
Small Cap: CRML +41.60%

Real Estate

3.44%
254 stocks
Top Performers by Market Cap:
Large Cap: JLL +9.03%
Mid Cap: HPP +26.09%
Small Cap: EXPI +12.86%

Consumer Defensive

3.24%
223 stocks
Top Performers by Market Cap:
Mega Cap: PG +1.22%
Large Cap: DG +9.46%
Small Cap: COUR +18.66%

Utilities

0.82%
92 stocks
Top Performers by Market Cap:
Large Cap: OKLO +32.96%
Mid Cap: BKH +3.08%
Small Cap: RNW +1.84%

Energy

-2.38%
190 stocks
Top Performers by Market Cap:
Mega Cap: CVX -2.42%
Large Cap: CCJ +3.98%
Mid Cap: NXE +11.41%
Small Cap: AESI +16.89%

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