best performing stock from 2000 to 2008

Ovintiv (OVV) had the highest return between 2000 and 2008 by a US stock, returning 82,345,000%.

ASSET YEARS % RETURN
Ovintiv (OVV)
2000-2008
82,345,000%
InterContinental Hotels Group PLC ADR (IHG)
2000-2008
5,519,600%
QVC (QVCGA)
2000-2008
1,617,809.26%
India Globalization Capital (IGC)
2000-2008
1,616,566.67%
Natwest (NWG)
2000-2008
1,589,066.67%
National Grid PLC ADR (NGG)
2000-2008
1,018,952.94%
Houston American Energy (HUSA)
2000-2008
875,802.7%
Northern Oil & Gas (NOG)
2000-2008
852,476.92%
Know Labs (KNW)
2000-2008
534,224.43%
Ring Energy (REI)
2000-2008
146,566.67%
Ocean Power Technologies (OPTT)
2000-2008
74,233.33%
Perspective Therapeutics (CATX)
2000-2008
66,566.67%
Weatherford International (WFRD)
2000-2008
16,131.96%
Future Fintech (FTFT)
2000-2008
12,400%
NanoViricides (NNVC)
2000-2008
11,240%
Gladstone Capital (GLAD)
2000-2008
9,940.3%
First Majestic Silver (AG)
2000-2008
7,838.67%
Gyre Therapeutics (GYRE)
2000-2008
7,448.45%
TherapeuticsMD (TXMD)
2000-2008
7,439.95%
Monster Beverage (MNST)
2000-2008
6,165.02%
Gulf Resources (GURE)
2000-2008
5,900%
Broadwind Energy (BWEN)
2000-2008
5,300.22%
Clean Harbors (CLH)
2000-2008
5,105.12%
Companhia Siderurgica Nacional ADR (SID)
2000-2008
4,336.27%
Amedisys (AMED)
2000-2008
3,908.92%