United States: Yearly Stock Market Performance Insight - 1976

Yearly Gainers
122
Yearly Losers
26
Average Return
29.06%
Total Stocks
162
View Detailed Market Cap Breakdown
Market Cap Yearly Gainers Yearly Losers Average Return Total Stocks
Mega Cap 7 5 8.59% 14
Large Cap 53 12 29.14% 70
Mid Cap 35 6 24.49% 42
Small Cap 11 1 73.62% 12

Yearly Streak Leaders for 1976

Stock Streak Streak Return
2 years โ†‘ 84.17%

Chevron achieves gains with a 2-year growth streak (2.78 โ†’ 5.12), delivering 84.2% cumulative returns. With 46.1B annual revenue generating only 3.5B profit (7.6% margin) in Qtr ending Mar 2025, the market prices in significant margin expansion ahead.

2 years โ†‘ 67.61%

Wells Fargo posts positive yearly returns with a 2-year growth streak (0.71 โ†’ 1.19), delivering 67.6% cumulative returns. With 20.1B annual revenue generating only 4.8B profit (23.8% margin) in Qtr ending Mar 2025, the market prices in significant margin expansion ahead.

4 years โ†“ -40.04%

Eli Lilly and faces prolonged challenges with a 4-year decline (4.97 โ†’ 2.98), down 40.0% cumulatively. Yet fundamentals remain solid: 12.7B annual revenue generating 2.8B profit (21.7% margin) as of Qtr ending Mar 2025 suggests this could be a value opportunity. Contrarian investors take note.

1 years โ†“ -13.37%

Johnson & Johnson records negative returns with a 1-year decline (1.87 โ†’ 1.62), down 13.4% cumulatively. Yet fundamentals remain solid: 21.9B annual revenue generating 11.0B profit (50.2% margin) as of Qtr ending Mar 2025 suggests this could be a value opportunity. Contrarian investors take note.

3 years โ†‘ 258.54%

Boeing maintains steady growth trajectory with a 3-year growth streak (0.41 โ†’ 1.47), delivering 258.5% cumulative returns. Despite 19.5B in annual revenue and - 31.0M loss (-0.2% margin) as of Qtr ending Mar 2025, the market values future potential over current profitability. Long-term investors bet on turnaround.

3 years โ†‘ 225.53%

RTX shows consistent annual gains with a 3-year growth streak (0.47 โ†’ 1.53), delivering 225.5% cumulative returns. Financial performance supports steady gains with 20.3B annual revenue yielding 1.6B profit (Qtr ending Mar 2025). The 8.0% margin provides buffer for continued expansion.

3 years โ†“ 0.00%

Avery Dennison sees continued yearly losses with a 3-year decline (0.00 โ†’ 2.72), down 0.0% cumulatively. Annual revenue of 2.1B provides stability, but 166.3M net income (7.7% margin) in Qtr ending Mar 2025 highlights operational challenges requiring strategic shifts.

2 years โ†“ 0.00%

International navigates difficult years with a 2-year decline (0.00 โ†’ 7.38), down 0.0% cumulatively. Financial struggles compound yearly losses: despite 2.8B annual revenue, - 1.0B losses persist (-35.8% margin) as of Qtr ending Mar 2025. Turnaround remains elusive.

3 years โ†‘ 156.25%

John Wiley & Sons maintains steady growth trajectory with a 3-year growth streak (0.16 โ†’ 0.41), delivering 156.2% cumulative returns. With 442.6M annual revenue generating only 68.1M profit (15.4% margin) in Qtr ending Apr 2025, the market prices in significant margin expansion ahead.

2 years โ†‘ 313.40%

Avnet delivers growth with a 2-year growth streak (0.97 โ†’ 4.01), delivering 313.4% cumulative returns. With 5.7B annual revenue generating only 87.3M profit (1.5% margin) in Qtr ending Dec 2024, the market prices in significant margin expansion ahead.

3 years โ†“ -58.45%

EastGroup Properties navigates difficult years with a 3-year decline (10.42 โ†’ 4.33), down 58.4% cumulatively. Yet fundamentals remain solid: 174.4M annual revenue generating 59.4M profit (34.1% margin) as of Qtr ending Mar 2025 suggests this could be a value opportunity. Contrarian investors take note.

2 years โ†“ -13.51%

Matson sees continued yearly losses with a 2-year decline (1.48 โ†’ 1.28), down 13.5% cumulatively. Annual revenue of 782.0M provides stability, but 72.3M net income (9.2% margin) in Qtr ending Mar 2025 highlights operational challenges requiring strategic shifts.

3 years โ†‘ 117.78%

Pitney Bowes shows consistent annual gains with a 3-year growth streak (0.45 โ†’ 0.98), delivering 117.8% cumulative returns. With 493.4M annual revenue generating only 35.4M profit (7.2% margin) in Qtr ending Mar 2025, the market prices in significant margin expansion ahead.

3 years โ†‘ 52.40%

Kennametal builds shareholder value with a 3-year growth streak (2.08 โ†’ 3.17), delivering 52.4% cumulative returns. Financial performance supports steady gains with 486.4M annual revenue yielding 33.1M profit (Qtr ending Mar 2025). The 6.8% margin provides buffer for continued expansion.

1 years โ†“ 11.55%

Universal experiences yearly pullback with a 1-year decline (2.77 โ†’ 3.09), down 11.6% cumulatively. Weak margins on 702.3M annual revenue with only 14.3M profit (2.0% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before recovery.

United States Market Yearly Gainers & Losers: 1976

Top United States Stock Gainers (1976)

Stock Year Open Year Close Yearly Change Avg Daily Volume Year Volume
$3.67 $5.12 39.51% 809.2K 203.9M
$0.91 $1.19 30.77% 342.0K 86.2M
$13.40 $16.68 24.48% 1.3M 333.5M
$2.78 $3.35 20.94% 2.8M 709.3M
$4.61 $5.55 20.39% 1.1M 274.5M
$0.00 $0.80 196.30% 563.4K 142.0M
$0.48 $1.18 174.42% 30.2K 7.6M
$0.00 $6.06 137.65% 82.7K 20.8M
$0.80 $1.47 83.75% 1.8M 451.3M
$0.00 $2.58 76.71% 61.5K 15.5M
$3.78 $6.65 100.30% 6.9K 1.7M
$0.00 $0.73 87.18% 624.7K 157.4M
$2.30 $4.01 74.35% 226.2K 57.0M
$2.50 $4.00 68.07% 7.1K 1.8M
$1.11 $1.67 50.45% 17.1K 4.3M
$0.22 $0.95 331.82% 3.5K 874.3K
$0.75 $2.33 180.72% 0 0
$0.06 $0.16 166.67% 21.4K 5.4M
$1.67 $1.52 65.22% 0 0
$1.62 $2.47 52.47% 0 0

Biggest United States Stock Losers (1976)

Stock Year Open Year Close Yearly Change Avg Daily Volume Year Volume
$1.87 $1.62 -13.37% 1.6M 414.3M
$1.44 $1.32 -8.33% 2.9M 732.1M
$3.23 $2.98 -7.74% 780.4K 196.7M
$1.03 $0.97 -5.83% 3.1M 778.1M
$0.86 $0.82 -4.65% 3.4M 856.8M
$0.00 $0.18 -28.00% 2.2M 561.4M
$0.00 $2.72 -21.61% 47.9K 12.1M
$0.12 $0.11 -8.33% 143.4K 36.1M
$0.00 $7.38 -7.75% 99.0K 24.9M
$0.67 $0.62 -7.46% 4.0M 1.0B
$0.00 $1.38 -40.26% 19.6K 4.9M
$0.00 $10.12 -32.26% 41.9K 10.6M
$6.50 $5.75 -22.09% 0 0
$0.00 $4.33 -18.76% 2.1K 526.4K
$1.45 $1.28 -11.72% 55.9K 14.1M
$2.77 $3.09 -33.69% 0 0

Most Active United States Stocks During 1976

Stock Year Open Year Close Yearly Change Avg Daily Volume Yearly Volume
$0.02 $0.02 0.00% 9.0M 2.3B
$0.86 $0.82 -4.65% 3.4M 856.8M
$1.03 $0.97 -5.83% 3.1M 778.1M
$1.44 $1.32 -8.33% 2.9M 732.1M
$2.78 $3.35 20.94% 2.8M 709.3M
$0.67 $0.62 -7.46% 4.0M 1.0B
$0.55 $0.58 5.45% 3.4M 865.0M
$1.10 $1.29 17.27% 3.3M 824.9M
$1.43 $2.00 39.86% 2.7M 678.9M
$0.00 $0.18 -28.00% 2.2M 561.4M
$0.00 $0.73 87.18% 624.7K 157.4M
$5.80 $8.60 48.28% 297.6K 75.0M
$2.30 $4.01 74.35% 226.2K 57.0M
$0.00 $2.46 29.47% 176.4K 44.4M
$5.50 $6.44 17.09% 138.3K 34.8M
$0.91 $0.98 7.69% 349.6K 88.1M
$0.06 $0.16 166.67% 21.4K 5.4M
$1.30 $1.61 24.81% 4.6K 1.2M
$1.50 $1.52 7.04% 4.3K 1.1M
$0.22 $0.95 331.82% 3.5K 874.3K

United States Sector Performance During 1976

Real Estate

66.71%
7 stocks
Top Performers by Market Cap:
Large Cap: WY +25.33%
Mid Cap: FRT +19.35%
Small Cap: GTY +331.82%

Basic Materials

40.80%
8 stocks
Top Performers by Market Cap:
Large Cap: VMC +71.32%
Small Cap: SCL +39.47%

Financial Services

36.81%
14 stocks
Top Performers by Market Cap:
Mega Cap: WFC +30.77%
Large Cap: CNA +76.71%
Small Cap: STC +180.72%

Technology

36.35%
13 stocks
Top Performers by Market Cap:
Mega Cap: IBM +24.48%
Large Cap: TER +41.27%
Mid Cap: AVT +74.35%
Small Cap: KLIC +166.67%

Industrials

34.91%
39 stocks
Top Performers by Market Cap:
Mega Cap: GE +20.39%
Large Cap: PNR +174.42%
Mid Cap: TPC +68.07%
Small Cap: KMT +23.83%

Utilities

27.20%
23 stocks
Top Performers by Market Cap:
Large Cap: CMS +52.02%
Mid Cap: CWT +26.58%
Small Cap: MSEX +52.47%

Consumer Defensive

20.81%
21 stocks
Top Performers by Market Cap:
Mega Cap: PG +5.40%
Large Cap: TGT +196.30%
Small Cap: UVV -33.69%

Consumer Cyclical

18.39%
16 stocks
Top Performers by Market Cap:
Mega Cap: MCD -8.33%
Large Cap: F +39.86%
Mid Cap: HRB +87.18%
Small Cap: LZB +65.22%

Energy

12.22%
8 stocks
Top Performers by Market Cap:
Mega Cap: CVX +39.51%
Large Cap: HAL +33.56%
Mid Cap: NFG +31.82%

Communication Services

11.89%
3 stocks
Top Performers by Market Cap:
Mega Cap: DIS -5.83%
Mid Cap: NYT +36.36%

Healthcare

4.13%
10 stocks
Top Performers by Market Cap:
Mega Cap: LLY -7.74%
Large Cap: CVS +49.11%
Mid Cap: CHE +38.89%

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