United States: Yearly Stock Market Performance Insight - 2002

Yearly Gainers
729
Yearly Losers
1,000
Average Return
-1.71%
Total Stocks
1,790
View Detailed Market Cap Breakdown
Market Cap Yearly Gainers Yearly Losers Average Return Total Stocks
Mega Cap 7 26 -17.07% 34
Large Cap 161 286 -8.53% 454
Mid Cap 184 219 -1.87% 414
Small Cap 69 76 -3.33% 150

Yearly Streak Leaders for 2002

Stock Streak Streak Return
4 years โ†‘ 281.72%

UnitedHealth maintains steady growth trajectory with a 4-year growth streak (5.47 โ†’ 20.88), delivering 281.7% cumulative returns. With 109.6B annual revenue generating only 6.5B profit (5.9% margin) in Qtr ending Mar 2025, the market prices in significant margin expansion ahead.

2 years โ†‘ 53.49%

Bank of America posts positive yearly returns with a 2-year growth streak (22.66 โ†’ 34.78), delivering 53.5% cumulative returns. With 27.4B annual revenue generating only 7.4B profit (27.0% margin) in Qtr ending Mar 2025, the market prices in significant margin expansion ahead.

5 years โ†“ -50.57%

Walt Disney faces prolonged challenges with a 5-year decline (32.55 โ†’ 16.09), down 50.6% 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.

4 years โ†“ -48.72%

AT&T endures extended market pressure with a 4-year decline (39.94 โ†’ 20.48), down 48.7% cumulatively. Yet fundamentals remain solid: 30.6B annual revenue generating 4.7B profit (15.3% margin) as of Qtr ending Mar 2025 suggests this could be a value opportunity. Contrarian investors take note.

12 years โ†‘ 2,785.71%

Brown & Brown demonstrates exceptional long-term growth with a 12-year growth streak (0.28 โ†’ 8.08), delivering 2,785.7% cumulative returns. Annual financials validate this performance: 1.4B revenue generating 334.0M net profit (24.1% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

9 years โ†‘ 1,636.17%

Expeditors demonstrates exceptional long-term growth with a 9-year growth streak (0.94 โ†’ 16.32), delivering 1,636.2% cumulative returns. With 2.7B annual revenue generating only 204.1M profit (7.7% margin) in Qtr ending Mar 2025, the market prices in significant margin expansion ahead.

7 years โ†“ -73.90%

Mosaic Company endures extended market pressure with a 7-year decline (40.88 โ†’ 10.67), down 73.9% 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.

5 years โ†“ -39.65%

CNA Financial struggles through multi-year headwinds with a 5-year decline (42.42 โ†’ 25.60), down 39.7% cumulatively. Weak margins on 3.6B annual revenue with only 274.0M profit (7.7% margin) in Qtr ending Mar 2025 validate market skepticism. Structural improvements needed before recovery.

8 years โ†‘ 518.42%

Simpson solidifies its market leadership with a 8-year growth streak (2.66 โ†’ 16.45), delivering 518.4% cumulative returns. Annual financials validate this performance: 538.9M revenue generating 77.9M net profit (14.5% margin) demonstrates exceptional profit margins as of Qtr ending Mar 2025.

6 years โ†‘ 810.06%

Oshkosh demonstrates exceptional long-term growth with a 6-year growth streak (1.69 โ†’ 15.38), delivering 810.1% cumulative returns. With 2.3B annual revenue generating only 112.2M profit (4.9% margin) in Qtr ending Mar 2025, the market prices in significant margin expansion ahead.

9 years โ†“ -80.46%

Louisiana-Pacific endures extended market pressure with a 9-year decline (41.25 โ†’ 8.06), down 80.5% 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.

7 years โ†“ -80.09%

Argan faces prolonged challenges with a 7-year decline (17.58 โ†’ 3.50), down 80.1% cumulatively. Annual revenue of 193.7M provides stability, but 22.6M net income (11.6% margin) in Qtr ending Apr 2025 highlights operational challenges requiring strategic shifts.

5 years โ†‘ 38.84%

Centerspace continues its impressive multi-year expansion with a 5-year growth streak (71.88 โ†’ 99.80), delivering 38.8% cumulative returns. Despite 67.1M in annual revenue and - 4.2M loss (-6.2% margin) as of Qtr ending Mar 2025, the market values future potential over current profitability. Long-term investors bet on turnaround.

3 years โ†‘ 472.57%

Pediatrix Medical shows consistent annual gains with a 3-year growth streak (1.75 โ†’ 10.02), delivering 472.6% cumulative returns. While annual revenue reaches 458.4M, net income of 20.7M (4.5% margin) in Qtr ending Mar 2025 shows the company prioritizes growth over margins - common for expanding Healthcare players.

6 years โ†“ -80.08%

UFP Technologies struggles through multi-year headwinds with a 6-year decline (5.12 โ†’ 1.02), down 80.1% cumulatively. Yet fundamentals remain solid: 148.1M annual revenue generating 17.2M profit (11.6% margin) as of Qtr ending Mar 2025 suggests this could be a value opportunity. Contrarian investors take note.

5 years โ†“ -58.81%

Greenbrier endures extended market pressure with a 5-year decline (17.31 โ†’ 7.13), down 58.8% cumulatively. Annual revenue of 762.1M provides stability, but 46.2M net income (6.1% margin) in Qtr ending Feb 2025 highlights operational challenges requiring strategic shifts.

United States Market Yearly Gainers & Losers: 2002

Top United States Stock Gainers (2002)

Stock Year Open Year Close Yearly Change Avg Daily Volume Year Volume
$0.55 $0.94 74.07% 167.6M 42.2B
$17.50 $20.88 18.03% 9.5M 2.4B
$31.16 $34.78 10.48% 12.9M 3.3B
$21.41 $23.46 9.68% 6.6M 1.7B
$39.45 $42.97 8.62% 7.8M 2.0B
$5.12 $24.92 380.15% 341.8K 86.1M
$1.67 $7.78 363.10% 406.7K 102.5M
$2.13 $7.35 222.37% 501.8K 126.4M
$2.55 $7.95 212.99% 1.9M 488.4M
$0.59 $1.25 123.21% 490.6K 123.6M
$0.90 $5.06 438.30% 961.8K 242.4M
$0.93 $2.70 350.00% 0 0
$0.28 $0.78 178.57% 6.2K 1.6M
$1.70 $4.60 165.90% 14.8K 3.7M
$2.19 $5.31 159.02% 2.0K 507.9K
$1.01 $4.14 283.33% 1.0M 258.8M
$12.04 $28.26 134.72% 45.6K 11.5M
$6.21 $14.52 130.48% 7.3K 1.8M
$1.52 $3.28 121.62% 13.7K 3.5M
$1.88 $4.04 100.00% 181.3K 45.7M

Biggest United States Stock Losers (2002)

Stock Year Open Year Close Yearly Change Avg Daily Volume Year Volume
$0.56 $0.10 -82.14% 1.3B 319.4B
$16.28 $6.46 -59.27% 7.2M 1.8B
$51.01 $24.02 -52.91% 11.4M 2.9B
$26.47 $16.08 -39.25% 6.1M 1.5B
$193.14 $116.70 -39.24% 5.7M 1.4B
$13.25 $0.41 -96.85% 1.3M 335.8M
$90.56 $5.70 -93.86% 16.7K 4.2M
$21.26 $2.20 -89.42% 7.9M 2.0B
$39.00 $4.40 -88.48% 20.5K 5.2M
$38.39 $8.02 -78.92% 6.9M 1.7B
$121.10 $6.40 -94.50% 206.7K 52.1M
$3.55 $0.31 -91.39% 25.9K 6.5M
$15.50 $3.02 -81.53% 4.3M 1.1B
$13.33 $2.88 -78.21% 1.5M 382.5M
$13.73 $3.00 -78.10% 1.0M 264.4M
$3.46 $0.35 -89.49% 27.8K 7.0M
$28.05 $4.55 -83.78% 48.8K 12.3M
$280.00 $52.00 -81.56% 5.8K 1.5M
$12.05 $2.30 -80.87% 1.0M 259.7M
$30.00 $6.83 -77.23% 410.3K 103.4M

Most Active United States Stocks During 2002

Stock Year Open Year Close Yearly Change Avg Daily Volume Yearly Volume
$0.56 $0.10 -82.14% 1.3B 319.4B
$0.39 $0.26 -33.33% 305.6M 77.0B
$0.55 $0.94 74.07% 167.6M 42.2B
$18.44 $13.10 -27.66% 77.7M 19.6B
$33.33 $25.85 -21.95% 76.9M 19.4B
$6.88 $7.14 1.42% 65.2M 16.4B
$31.90 $15.57 -50.49% 57.6M 14.5B
$20.42 $13.03 -35.01% 33.8M 8.5B
$4.06 $4.25 3.41% 32.9M 8.3B
$25.49 $18.19 -27.96% 31.3M 7.9B
$4.69 $3.97 -16.07% 31.9M 8.0B
$7.50 $6.35 -16.01% 20.0M 5.0B
$3.95 $2.19 -44.56% 11.4M 2.9B
$13.84 $15.52 11.33% 6.2M 1.6B
$39.59 $11.24 -71.54% 5.9M 1.5B

United States Sector Performance During 2002

Basic Materials

31.52%
91 stocks
Top Performers by Market Cap:
Mega Cap: LIN +4.60%
Large Cap: RGLD +380.15%
Mid Cap: HL +438.30%
Small Cap: SCL +2.97%

Consumer Cyclical

19.23%
213 stocks
Top Performers by Market Cap:
Mega Cap: AMZN +74.07%
Large Cap: CCK +212.99%
Small Cap: MCRI +71.50%

Consumer Defensive

10.44%
93 stocks
Top Performers by Market Cap:
Mega Cap: PG +8.62%
Large Cap: CCEP +14.68%
Small Cap: EPC +46.46%

Financial Services

9.38%
346 stocks
Top Performers by Market Cap:
Mega Cap: BAC +10.48%
Large Cap: EWBC +40.06%
Small Cap: CHCO +134.72%

Real Estate

-0.06%
94 stocks
Top Performers by Market Cap:
Large Cap: O +19.10%
Mid Cap: SKT +48.75%
Small Cap: DX +130.48%

Communication Services

-0.24%
54 stocks
Top Performers by Market Cap:
Mega Cap: DIS -21.28%
Large Cap: TTWO +45.27%
Mid Cap: TGNA +6.79%
Small Cap: ZD +283.33%

Industrials

-3.91%
286 stocks
Top Performers by Market Cap:
Mega Cap: GE -39.24%
Large Cap: CLH +363.10%
Small Cap: PRG +69.91%

Energy

-4.55%
82 stocks
Top Performers by Market Cap:
Mega Cap: SHEL -10.20%
Large Cap: HAL +42.75%
Mid Cap: CRK +32.71%
Small Cap: WKC +12.04%

Utilities

-13.87%
56 stocks
Top Performers by Market Cap:
Large Cap: ETR +16.62%
Mid Cap: UGI +23.85%
Small Cap: HE +9.19%

Healthcare

-18.41%
208 stocks
Top Performers by Market Cap:
Mega Cap: UNH +18.03%
Large Cap: BSX +76.29%
Small Cap: ACHC +121.62%

Technology

-31.98%
251 stocks
Top Performers by Market Cap:
Mega Cap: INTU +9.68%
Large Cap: CTSH +76.02%
Small Cap: BHE +51.13%

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