United States: Yearly Stock Market Performance Insight - 2000

Yearly Gainers
774
Yearly Losers
812
Average Return
8.39%
Total Stocks
1,672
View Detailed Market Cap Breakdown
Market Cap Yearly Gainers Yearly Losers Average Return Total Stocks
Mega Cap 12 20 -2.54% 33
Large Cap 266 146 25.29% 431
Mid Cap 203 180 11.29% 396
Small Cap 64 77 5.00% 144

Yearly Streak Leaders for 2000

Stock Streak Streak Return
7 years โ†‘ 369.44%

Johnson & Johnson solidifies its market leadership with a 7-year growth streak (11.19 โ†’ 52.53), delivering 369.4% cumulative returns. Annual financials validate this performance: 21.9B revenue generating 11.0B net profit (50.2% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

6 years โ†‘ 835.66%

Morgan Stanley demonstrates exceptional long-term growth with a 6-year growth streak (8.47 โ†’ 79.25), delivering 835.7% cumulative returns. With 16.5B annual revenue generating only 4.4B profit (26.5% margin) in Qtr ending Mar 2025, the market prices in significant margin expansion ahead.

3 years โ†“ -24.79%

Bank of America navigates difficult years with a 3-year decline (30.50 โ†’ 22.94), down 24.8% cumulatively. Weak margins on 27.4B annual revenue with only 7.4B profit (27.0% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before recovery.

3 years โ†“ -12.29%

Walt Disney encounters consecutive annual declines with a 3-year decline (32.55 โ†’ 28.55), down 12.3% cumulatively. Annual revenue of 23.6B provides stability, but 3.4B net income (14.4% margin) in Qtr ending Mar 2025 highlights operational challenges requiring strategic shifts.

14 years โ†‘ 0.00%

Fiserv demonstrates exceptional long-term growth with a 14-year growth streak (0.00 โ†’ 7.91), delivering 0.0% cumulative returns. Annual financials validate this performance: 5.1B revenue generating 848.0M net profit (16.5% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

12 years โ†‘ 1,861.96%

Aflac demonstrates exceptional long-term growth with a 12-year growth streak (0.92 โ†’ 18.05), delivering 1,862.0% cumulative returns. With 3.5B annual revenue generating only 29.0M profit (0.8% margin) in Qtr ending Mar 2025, the market prices in significant margin expansion ahead.

5 years โ†“ -91.93%

Cheniere Energy faces prolonged challenges with a 5-year decline (15.00 โ†’ 1.21), down 91.9% cumulatively. The 5.4B annual revenue base faces margin compression with profits at 668.0M (Qtr ending Mar 2025). Market concerns about profitability trajectory drive the multi-year decline.

5 years โ†“ -61.94%

Mosaic Company faces prolonged challenges with a 5-year decline (40.88 โ†’ 15.56), down 61.9% cumulatively. The 2.6B annual revenue base faces margin compression with profits at 250.0M (Qtr ending Mar 2025). Market concerns about profitability trajectory drive the multi-year decline.

10 years โ†‘ 3,185.12%

Harley-Davidson continues its impressive multi-year expansion with a 10-year growth streak (1.21 โ†’ 39.75), delivering 3,185.1% cumulative returns. Financial performance supports steady gains with 1.3B annual revenue yielding 130.8M profit (Qtr ending Mar 2025). The 9.8% margin provides buffer for continued expansion.

10 years โ†‘ 329.75%

Cousins Properties continues its impressive multi-year expansion with a 10-year growth streak (18.35 โ†’ 78.86), delivering 329.8% cumulative returns. With 250.3M annual revenue generating only 21.1M profit (8.4% margin) in Qtr ending Mar 2025, the market prices in significant margin expansion ahead.

7 years โ†“ -95.74%

Hecla Mining Company endures extended market pressure with a 7-year decline (11.75 โ†’ 0.50), down 95.7% cumulatively. Yet fundamentals remain solid: 261.3M annual revenue generating 28.9M profit (11.0% margin) as of Qtr ending Mar 2025 suggests this could be a value opportunity. Contrarian investors take note.

7 years โ†“ -75.47%

Louisiana-Pacific faces prolonged challenges with a 7-year decline (41.25 โ†’ 10.12), down 75.5% cumulatively. Yet fundamentals remain solid: 724.0M annual revenue generating 91.0M profit (12.6% margin) as of Qtr ending Mar 2025 suggests this could be a value opportunity. Contrarian investors take note.

6 years โ†‘ 763.40%

Bel Fuse solidifies its market leadership with a 6-year growth streak (3.88 โ†’ 33.50), delivering 763.4% cumulative returns. Annual financials validate this performance: 152.2M revenue generating 18.3M net profit (12.0% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

6 years โ†‘ 724.07%

Astronics continues its impressive multi-year expansion with a 6-year growth streak (0.54 โ†’ 4.45), delivering 724.1% cumulative returns. With 205.9M annual revenue generating only 9.5M profit (4.6% margin) in Qtr ending Mar 2025, the market prices in significant margin expansion ahead.

6 years โ†“ -97.92%

Acadia Healthcare faces prolonged challenges with a 6-year decline (24.00 โ†’ 0.50), down 97.9% cumulatively. Weak margins on 770.5M annual revenue with only 9.1M profit (1.2% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before recovery.

4 years โ†“ -98.30%

Dynex Capital struggles through multi-year headwinds with a 4-year decline (176.25 โ†’ 3.00), down 98.3% cumulatively. Financial struggles compound yearly losses: despite 9.0M annual revenue, - 3.1M losses persist (-34.0% margin) as of Qtr ending Mar 2025. Turnaround remains elusive.

United States Market Yearly Gainers & Losers: 2000

Top United States Stock Gainers (2000)

Stock Year Open Year Close Yearly Change Avg Daily Volume Year Volume
$6.64 $15.34 131.02% 9.0M 2.3B
$0.10 $0.14 40.00% 441.7M 111.3B
$65.00 $93.06 39.94% 3.5M 870.4M
$20.16 $27.84 37.69% 8.3M 2.1B
$15.82 $21.74 33.37% 8.4M 2.1B
$1.93 $10.66 479.35% 812.6K 204.8M
$7.92 $37.80 377.27% 1.1M 278.0M
$7.70 $35.50 364.66% 1.7M 419.1M
$17.75 $71.50 308.57% 1.2M 295.2M
$3.76 $12.25 232.88% 1.7M 435.0M
$14.69 $73.75 412.87% 35.4K 8.9M
$1.29 $5.17 307.09% 373.8K 94.2M
$0.17 $0.62 287.50% 29.3K 7.4M
$1.34 $4.66 242.65% 176.3K 44.4M
$1.03 $3.26 216.50% 25.2K 6.3M
$7.83 $30.25 286.33% 95.8K 24.1M
$1.75 $6.02 244.00% 589.8K 148.6M
$2.79 $7.92 179.86% 43.7K 11.0M
$450.00 $1,237.50 178.48% 2.8K 700.8K
$1.98 $5.50 177.78% 167.5K 42.2M

Biggest United States Stock Losers (2000)

Stock Year Open Year Close Yearly Change Avg Daily Volume Year Volume
$4.07 $0.78 -79.53% 175.2M 44.1B
$0.94 $0.27 -70.65% 477.4M 120.3B
$58.69 $21.69 -62.85% 79.7M 20.1B
$29.80 $19.72 -34.20% 6.9M 1.7B
$68.62 $45.69 -33.54% 6.9M 1.7B
$315.00 $7.88 -97.23% 656.0K 165.3M
$344.19 $21.06 -93.57% 2.0M 496.9M
$60.62 $4.75 -91.67% 2.2M 542.3M
$115.50 $9.50 -90.95% 2.0M 511.2M
$48.00 $6.75 -86.05% 32.2K 8.1M
$17.50 $1.15 -93.19% 155.2K 39.1M
$79.00 $5.41 -92.79% 869.4K 219.1M
$8.38 $1.12 -86.73% 407.4K 102.7M
$19.06 $3.44 -82.80% 6.6K 1.7M
$2.00 $0.38 -82.08% 6.0K 1.5M
$5.87 $0.24 -95.89% 234.9K 59.2M
$102.00 $5.69 -94.01% 2.5M 631.9M
$83.12 $5.47 -93.34% 60.2K 15.2M
$28.00 $2.75 -89.96% 315.3K 79.5M
$3.38 $0.41 -87.87% 83.6K 21.1M

Most Active United States Stocks During 2000

Stock Year Open Year Close Yearly Change Avg Daily Volume Yearly Volume
$0.94 $0.27 -70.65% 477.4M 120.3B
$0.10 $0.14 40.00% 441.7M 111.3B
$4.07 $0.78 -79.53% 175.2M 44.1B
$58.69 $21.69 -62.85% 79.7M 20.1B
$31.16 $29.06 3.71% 52.9M 13.3B
$41.63 $30.06 -26.97% 52.5M 13.2B
$6.85 $3.47 -47.34% 49.6M 12.5B
$3.77 $1.45 -61.02% 44.8M 11.3B
$99.62 $41.09 -53.34% 36.4M 9.2B
$32.09 $19.09 -39.72% 31.4M 7.9B
$4.69 $3.37 -29.65% 15.9M 4.0B
$8.50 $13.33 73.12% 11.0M 2.8B
$7.49 $5.38 -29.67% 9.9M 2.5B
$17.50 $36.12 114.23% 9.5M 2.4B
$1.40 $1.38 -1.43% 5.6M 1.4B
$10.22 $9.39 -6.10% 6.1M 1.5B
$102.00 $5.69 -94.01% 2.5M 631.9M
$22.24 $6.88 -67.73% 2.1M 539.8M
$2.48 $1.00 -60.16% 2.1M 521.4M
$21.75 $11.25 -47.13% 1.8M 449.5M

United States Sector Performance During 2000

Energy

52.63%
74 stocks
Top Performers by Market Cap:
Mega Cap: XOM +7.92%
Large Cap: EOG +211.16%
Small Cap: RES +151.32%

Healthcare

45.96%
185 stocks
Top Performers by Market Cap:
Mega Cap: UNH +131.02%
Large Cap: LH +377.27%
Small Cap: AORT +286.33%

Utilities

28.35%
55 stocks
Top Performers by Market Cap:
Large Cap: EXC +102.10%
Small Cap: HE +28.74%

Consumer Defensive

8.10%
88 stocks
Top Performers by Market Cap:
Mega Cap: KO +4.64%
Large Cap: MO +91.30%
Small Cap: UVV +53.44%

Financial Services

6.70%
320 stocks
Top Performers by Market Cap:
Mega Cap: WFC +37.69%
Large Cap: EG +221.02%
Small Cap: HOPE +127.27%

Real Estate

6.45%
92 stocks
Top Performers by Market Cap:
Large Cap: SBAC +118.99%
Mid Cap: HR +37.40%
Small Cap: ELME +57.47%

Industrials

3.94%
274 stocks
Top Performers by Market Cap:
Mega Cap: GE -7.07%
Large Cap: WCN +128.97%
Small Cap: GOGL +62.50%

Consumer Cyclical

-1.09%
196 stocks
Top Performers by Market Cap:
Mega Cap: MCD -15.65%
Large Cap: NVR +158.85%
Small Cap: BJRI +161.21%

Basic Materials

-5.27%
86 stocks
Top Performers by Market Cap:
Mega Cap: LIN -11.80%
Large Cap: SHW +25.29%
Small Cap: MTRN +20.11%

Technology

-10.10%
239 stocks
Top Performers by Market Cap:

Communication Services

-16.06%
49 stocks
Top Performers by Market Cap:
Mega Cap: DIS -1.07%
Large Cap: TU +10.20%
Mid Cap: WLY +28.36%
Small Cap: LGF.A -5.46%

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