STOCK TITAN

Top Stock Gainers - Best Performing Stocks (52 Week)

The best performing stocks over the past year, on split-adjusted closes. Ranks 3,908 companies above $100M on NYSE, Nasdaq and NYSE American, each with a close a full year back to measure from.

Data through September 24, 2026

Swipe or scroll the table sideways for more columns.

Rank
Symbol
Company Name
52-Week Gain
Market Cap
Price
Country
Sector
3001
-19.80%
$10.17B
$37.08
Bermuda
Financial Services
3002
-19.81%
$37.20B
$104.49
United States
Technology
3003
-19.83%
$93.49B
$263.88
United States
Utilities
3004
-19.84%
$449.80M
$28.09
Cayman Islands
Utilities
3005
-19.88%
$430.63M
$9.11
United States
Financial Services
3006
-19.89%
$13.59B
$70.95
United States
Financial Services
3007
-19.89%
$272.09M
$0.9231
United States
Healthcare
3008
-20.02%
$3.55B
$10.42
Bermuda
Communication Services
3009
-20.04%
$407.23M
$11.25
United States
Financial Services
3010
-20.06%
$387.12M
$11.61
United States
Financial Services
3011
-20.08%
$2.97B
$26.44
China
Healthcare
3012
-20.09%
$219.22M
$12.09
United States
Consumer Defensive
3013
-20.12%
$615.21M
$19.71
United States
Industrials
3014
-20.12%
$232.67M
$8.08
United States
Utilities
3015
-20.13%
$32.49B
$97.70
United States
Consumer Defensive
3016
-20.15%
$1.16B
$2.17
United States
Financial Services
3017
-20.15%
$5.69B
$33.85
Bermuda
Technology
3018
-20.26%
$6.11B
$96.82
United States
Consumer Defensive
3019
-20.26%
$621.39M
$11.97
United States
Financial Services
3020
-20.27%
$813.68M
$10.75
United States
Financial Services
3021
-20.34%
$243.10B
$210.62
Germany
Technology
3022
-20.39%
$196.86M
$6.19
United States
Real Estate
3023
-20.40%
$757.17M
$8.58
Israel
Technology
3024
-20.44%
$258.04M
$10.53
United States
Healthcare
3025
-20.47%
$1.50B
$10.64
United States
Healthcare
3026
-20.50%
$227.86M
$12.95
United States
Consumer Defensive
3027
-20.52%
$4.76B
$68.02
United States
Industrials
3028
-20.66%
$471.67M
$4.58
United States
Communication Services
3029
-20.67%
$1.74B
$18.25
United States
Financial Services
3030
-20.67%
$594.87M
$4.51
United States
Energy
3031
-20.70%
$1.71B
$74.43
United States
Healthcare
3032
-20.72%
$609.57M
$12.05
United States
Financial Services
3033
-20.73%
$2.09B
$15.56
United States
Consumer Cyclical
3034
-20.80%
$6.63B
$33.11
China
Technology
3035
-20.82%
$149.29M
$2.41
Canada
Basic Materials
3036
-21.02%
$257.00M
$25.46
United States
Industrials
3037
-21.04%
$34.83B
$490.45
United States
Basic Materials
3038
-21.07%
$5.39B
$202.79
United States
Consumer Cyclical
3039
-21.09%
$563.57M
$22.59
Canada
Technology
3040
-21.12%
$2.94B
$25.87
United States
Technology
3041
-21.13%
$3.74B
$13.08
United States
Consumer Cyclical
3042
-21.14%
$16.72B
$6241.61
United States
Consumer Cyclical
3043
-21.19%
$44.92B
$52.51
United States
Financial Services
3044
-21.21%
$2.93B
$81.29
United States
Technology
3045
-21.22%
$1.02B
$162.02
United States
Industrials
3046
-21.22%
$188.85M
$7.58
United States
Real Estate
3047
-21.30%
$12.99B
$141.81
United States
Industrials
3048
-21.32%
$46.36B
$192.38
United States
Technology
3049
-21.38%
$5.26B
$9.42
United States
Real Estate
3050
-21.40%
$293.73M
$11.19
Brazil
Financial Services
3051
-21.42%
$1.77B
$15.43
United Kingdom
Consumer Cyclical
3052
-21.44%
$4.45B
$26.81
United States
Real Estate
3053
-21.44%
$4.00B
$34.04
United States
Real Estate
3054
-21.49%
$59.73B
$281.60
Ireland
Financial Services
3055
-21.53%
$2.89B
$12.33
United States
Real Estate
3056
-21.56%
$15.20B
$25.79
United States
Financial Services
3057
-21.56%
$242.66M
$7.40
United States
Industrials
3058
-21.59%
$168.65B
$238.32
United States
Consumer Cyclical
3059
-21.64%
$497.44M
$9.39
United States
Communication Services
3060
-21.69%
$2.54B
$85.20
United States
Healthcare
3061
-21.70%
$296.41M
$11.36
United States
Industrials
3062
-21.79%
$299.08M
$2.62
United States
Healthcare
3063
-21.86%
$176.23M
$13.65
Israel
Healthcare
3064
-21.91%
$1.99B
$6.37
United States
Financial Services
3065
-21.91%
$15.65B
$26.90
Finland
Consumer Cyclical
3066
-21.91%
$209.20M
$3.54
United States
Healthcare
3067
-21.95%
$4.43B
$39.70
United States
Industrials
3068
-22.02%
$167.96M
$7.12
United States
Financial Services
3069
-22.09%
$74.92B
$117.02
China
Communication Services
3070
-22.13%
$5.47B
$178.34
United States
Basic Materials
3071
-22.22%
$122.82M
$1.19
United States
Healthcare
3072
-22.25%
$1.07B
$42.81
United States
Consumer Defensive
3073
-22.26%
$4.67B
$22.18
United States
Consumer Cyclical
3074
-22.35%
$1.04B
$6.10
United States
Financial Services
3075
-22.35%
$145.88M
$4.10
China
Consumer Defensive
3076
-22.37%
$251.49M
$12.81
United States
Financial Services
3077
-22.39%
$711.65M
$3.07
United States
Technology
3078
-22.45%
$620.51M
$3.19
United States
Healthcare
3079
-22.48%
$1.73B
$167.69
United States
Consumer Defensive
3080
-22.54%
$341.99M
$6.67
United States
Healthcare
3081
-22.62%
$338.90M
$6.01
Luxembourg
Basic Materials
3082
-22.63%
$1.39B
$7.14
United States
Industrials
3083
-22.65%
$495.10M
$7.50
United States
Healthcare
3084
-22.70%
$698.10M
$4.72
United States
Real Estate
3085
-22.77%
$6.90B
$117.79
Israel
Technology
3086
-22.77%
$1.11B
$6.13
United States
Healthcare
3087
-22.79%
$311.99M
$6.13
United States
Financial Services
3088
-22.82%
$20.63B
$191.97
United States
Technology
3089
-22.83%
$12.33B
$11.51
Netherlands
Consumer Defensive
3090
-22.85%
$471.38M
$5.68
United States
Basic Materials
3091
-22.90%
$14.32B
$69.13
Canada
Technology
3092
-22.93%
$135.61B
$23.20
Japan
Technology
3093
-22.94%
$5.94B
$19.86
United States
Real Estate
3094
-22.96%
$1.95B
$9.78
United States
Healthcare
3095
-22.98%
$3.67B
$28.75
United States
Consumer Cyclical
3096
-22.99%
$718.09M
$11.07
United States
Financial Services
3097
-23.00%
$1.32B
$8.64
United States
Healthcare
3098
-23.00%
$1.47B
$13.66
United States
Industrials
3099
-23.00%
$303.66M
$4.14
United States
Industrials
3100
-23.04%
$18.91B
$35.70
United States
Consumer Cyclical
Top gain on this page -19.80% BNT
Rows on this page 100 ranks 3001–3100
Page 31 of 40
Window 52 weeks split-adjusted
Looking for a specific Symbol?
MARKET LEADERS

How to read this ranking

52-Week Gain is the column the table is ordered by: the percentage change from the split-adjusted close one year ago to the latest close. Because the prices are split-adjusted, a split inside the window contributes nothing to the figure, and a company that split three-for-one shows the return its holders actually earned rather than a two-thirds fall.

Market Cap and Price describe the company today, not a year ago, so the two cannot be combined into a starting price. A row near the top of this board is usually small: a gain of several hundred percent takes far less buying on a company worth tens of millions than on one worth billions, which is why the largest gains and the largest companies rarely appear in the same rows.

The board admits companies above $100 million in market capitalization listed on NYSE, Nasdaq and NYSE American, and nothing else: no liquidity test, no price minimum. A company needs a close a full year back to be measured at all, which is why a recent listing is absent here while it appears on the year-to-date board. Country and Sector come from each company's own record and are what to check first when a symbol near the top is unfamiliar.

Gains are computed on split-adjusted closes, so a split inside the window does not read as a move. This ranking is informational and is not investment advice.