United States: Yearly Stock Market Performance Insight - 1989

Yearly Gainers
502
Yearly Losers
224
Average Return
21.14%
Total Stocks
763
View Detailed Market Cap Breakdown
Market Cap Yearly Gainers Yearly Losers Average Return Total Stocks
Mega Cap 21 4 49.79% 25
Large Cap 196 51 24.57% 256
Mid Cap 136 55 22.50% 198
Small Cap 32 24 13.27% 61

Yearly Streak Leaders for 1989

Stock Streak Streak Return
10 years โ†‘ 705.61%

McDonald's continues its impressive multi-year expansion with a 10-year growth streak (1.07 โ†’ 8.62), delivering 705.6% cumulative returns. Annual financials validate this performance: 6.0B revenue generating 1.9B net profit (31.4% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

9 years โ†‘ 580.28%

Coca-Cola continues its impressive multi-year expansion with a 9-year growth streak (0.71 โ†’ 4.83), delivering 580.3% cumulative returns. Annual financials validate this performance: 11.1B revenue generating 3.3B net profit (30.0% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

6 years โ†“ -76.56%

Advanced Micro faces prolonged challenges with a 6-year decline (16.81 โ†’ 3.94), down 76.6% cumulatively. Weak margins on 7.4B annual revenue with only 709.0M profit (9.5% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before recovery.

2 years โ†“ -18.42%

Apple sees continued yearly losses with a 2-year decline (0.38 โ†’ 0.31), down 18.4% cumulatively. Yet fundamentals remain solid: 95.4B annual revenue generating 24.8B profit (26.0% margin) as of Qtr ending Mar 2025 suggests this could be a value opportunity. Contrarian investors take note.

12 years โ†‘ 975.97%

Altria Group demonstrates exceptional long-term growth with a 12-year growth streak (1.29 โ†’ 13.88), delivering 976.0% cumulative returns. Annual financials validate this performance: 4.5B revenue generating 1.1B net profit (23.8% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

12 years โ†‘ 566.00%

Bristol-Myers Squibb demonstrates exceptional long-term growth with a 12-year growth streak (2.00 โ†’ 13.32), delivering 566.0% cumulative returns. Annual financials validate this performance: 11.2B revenue generating 2.5B net profit (22.0% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

6 years โ†“ -69.85%

Teradyne endures extended market pressure with a 6-year decline (9.12 โ†’ 2.75), down 69.8% cumulatively. Yet fundamentals remain solid: 685.7M annual revenue generating 98.9M profit (14.4% margin) as of Qtr ending Mar 2025 suggests this could be a value opportunity. Contrarian investors take note.

4 years โ†“ -88.06%

Cooper Companies endures extended market pressure with a 4-year decline (10.22 โ†’ 1.22), down 88.1% cumulatively. Weak margins on 1.0B annual revenue with only 87.7M profit (8.7% margin) in Qtr ending Apr 2025 validate market skepticism. Structural improvements needed before recovery.

10 years โ†‘ 0.00%

Graham Holdings continues its impressive multi-year expansion with a 10-year growth streak (0.00 โ†’ 170.08), delivering 0.0% cumulative returns. With 1.2B annual revenue generating only 25.7M profit (2.2% margin) in Qtr ending Mar 2025, the market prices in significant margin expansion ahead.

9 years โ†‘ 511.24%

Interpublic Group of demonstrates exceptional long-term growth with a 9-year growth streak (0.89 โ†’ 5.44), delivering 511.2% cumulative returns. Despite 2.3B in annual revenue and - 85.3M loss (-3.7% margin) as of Qtr ending Mar 2025, the market values future potential over current profitability. Long-term investors bet on turnaround.

6 years โ†“ 0.00%

Diodes faces prolonged challenges with a 6-year decline (0.00 โ†’ 0.35), down 0.0% cumulatively. Financial struggles compound yearly losses: despite 332.1M annual revenue, - 2.8M losses persist (-0.8% margin) as of Qtr ending Mar 2025. Turnaround remains elusive.

4 years โ†“ -74.86%

Lci Industries faces prolonged challenges with a 4-year decline (1.75 โ†’ 0.44), down 74.9% cumulatively. Weak margins on 1.0B annual revenue with only 49.4M profit (4.7% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before recovery.

8 years โ†‘ 666.45%

Pitney Bowes continues its impressive multi-year expansion with a 8-year growth streak (1.55 โ†’ 11.88), delivering 666.5% 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.

8 years โ†‘ 186.75%

Universal demonstrates exceptional long-term growth with a 8-year growth streak (6.19 โ†’ 17.75), delivering 186.8% cumulative returns. With 702.3M annual revenue generating only 14.3M profit (2.0% margin) in Qtr ending Mar 2025, the market prices in significant margin expansion ahead.

3 years โ†“ -81.40%

Astronics navigates difficult years with a 3-year decline (1.72 โ†’ 0.32), down 81.4% cumulatively. Weak margins on 205.9M annual revenue with only 9.5M profit (4.6% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before recovery.

3 years โ†“ -49.26%

Bel Fuse encounters consecutive annual declines with a 3-year decline (4.06 โ†’ 2.06), down 49.3% cumulatively. Yet fundamentals remain solid: 152.2M annual revenue generating 18.3M profit (12.0% margin) as of Qtr ending Mar 2025 suggests this could be a value opportunity. Contrarian investors take note.

United States Market Yearly Gainers & Losers: 1989

Top United States Stock Gainers (1989)

Stock Year Open Year Close Yearly Change Avg Daily Volume Year Volume
$0.13 $0.38 171.43% 5.7M 1.4B
$0.24 $0.58 141.67% 41.0M 10.3B
$4,700.00 $8,675.00 84.57% 19.7K 5.0M
$1.04 $1.81 74.04% 4.1M 1.0B
$2.72 $4.83 73.12% 9.8M 2.5B
$2.23 $6.51 184.28% 33.5K 8.4M
$1.31 $3.59 174.05% 1.7M 421.0M
$0.48 $1.04 116.67% 316.1K 79.7M
$0.41 $0.83 102.44% 25.3M 6.4B
$0.15 $0.30 100.00% 2.0M 493.1M
$1.44 $5.38 330.40% 37.6K 9.5M
$0.00 $2.69 301.49% 656.8K 165.5M
$0.16 $0.40 150.00% 1.5M 383.8M
$3.41 $7.95 133.14% 350.9K 88.4M
$1.46 $3.26 118.79% 0 0
$0.50 $1.75 201.72% 964 243.0K
$0.00 $900.00 150.00% 140 35.3K
$1.25 $2.50 100.00% 14.2K 3.6M
$0.84 $1.69 94.25% 158.5K 39.9M
$5.12 $8.59 68.76% 200.4K 50.5M

Biggest United States Stock Losers (1989)

Stock Year Open Year Close Yearly Change Avg Daily Volume Year Volume
$29.13 $22.50 -22.76% 6.7M 1.7B
$0.36 $0.31 -13.89% 202.0M 50.9B
$4.31 $3.94 -8.58% 582.1K 146.7M
$10.25 $9.96 -3.58% 924.1K 232.9M
$0.05 $0.02 -60.00% 346.8K 87.4M
$0.22 $0.10 -44.44% 27.3K 6.9M
$5.57 $3.17 -43.09% 358.2K 90.3M
$0.00 $5.50 -41.36% 126.5K 31.9M
$2.88 $1.62 -41.09% 22.7K 5.7M
$3.88 $1.09 -72.75% 0 0
$3.00 $1.22 -58.64% 53.4K 13.5M
$172.50 $82.50 -52.17% 87 22.0K
$0.00 $0.23 -51.06% 8.8K 2.2M
$3.31 $1.94 -41.39% 52.3K 13.2M
$2.81 $0.78 -73.74% 0 0
$49.50 $18.75 -61.54% 5.5K 1.4M
$0.77 $0.32 -56.76% 9.5K 2.4M
$1.16 $0.51 -56.03% 114.3K 28.8M
$0.33 $0.21 -30.00% 0 0

Most Active United States Stocks During 1989

Stock Year Open Year Close Yearly Change Avg Daily Volume Yearly Volume
$0.36 $0.31 -13.89% 202.0M 50.9B
$0.37 $0.60 62.16% 77.4M 19.5B
$0.24 $0.58 141.67% 41.0M 10.3B
$1.29 $1.87 42.75% 14.8M 3.7B
$2.72 $4.83 73.12% 9.8M 2.5B
$0.74 $1.08 45.95% 48.8M 12.3B
$0.41 $0.83 102.44% 25.3M 6.4B
$0.70 $1.02 45.71% 15.2M 3.8B
$0.35 $0.45 28.57% 14.1M 3.5B
$2.28 $2.75 20.09% 10.9M 2.7B
$1.55 $1.90 22.58% 3.6M 907.6M
$1.15 $1.63 41.74% 2.9M 728.1M
$1.90 $2.92 54.50% 2.8M 705.9M
$5.36 $6.93 28.10% 2.1M 525.7M
$6.32 $8.09 28.01% 1.8M 450.2M
$10.62 $11.88 11.13% 716.4K 180.5M
$2.62 $2.93 14.01% 494.8K 124.7M
$0.00 $4.94 -0.60% 394.1K 99.3M
$0.72 $0.74 2.78% 372.8K 93.9M
$7.68 $7.60 -1.04% 324.9K 81.9M

United States Sector Performance During 1989

Energy

59.68%
40 stocks
Top Performers by Market Cap:
Mega Cap: CVX +48.08%
Large Cap: DVN +184.28%
Small Cap: HP +68.76%

Healthcare

44.66%
59 stocks
Top Performers by Market Cap:

Communication Services

38.15%
19 stocks
Top Performers by Market Cap:
Mega Cap: DIS +70.24%
Large Cap: VZ +56.41%

Consumer Defensive

33.73%
52 stocks
Top Performers by Market Cap:
Mega Cap: KO +73.12%
Large Cap: MKC +84.00%
Mid Cap: CPB +86.04%
Small Cap: SPB +64.71%

Financial Services

21.48%
123 stocks
Top Performers by Market Cap:

Utilities

17.18%
46 stocks
Top Performers by Market Cap:
Large Cap: CMS +55.87%
Mid Cap: UGI +28.31%
Small Cap: HE +35.85%

Consumer Cyclical

17.05%
91 stocks
Top Performers by Market Cap:
Mega Cap: HD +74.04%
Large Cap: WSM +116.67%
Small Cap: CBRL +67.56%

Industrials

14.19%
161 stocks
Top Performers by Market Cap:
Mega Cap: GE +44.15%
Large Cap: DRS +83.36%
Small Cap: DCO +100.00%

Technology

13.05%
84 stocks
Top Performers by Market Cap:

Basic Materials

9.84%
50 stocks
Top Performers by Market Cap:
Large Cap: GOLD +93.40%
Mid Cap: AA +33.90%
Small Cap: MTRN -21.21%

Real Estate

-8.75%
30 stocks
Top Performers by Market Cap:
Large Cap: WELL +23.06%
Mid Cap: PCH +18.54%
Small Cap: GTY +28.34%

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