best performing stock in 1999 to 2007

Ovintiv (OVV) had the highest return between 1999 and 2007 by a US stock, returning 117,498,500%.

ASSET YEARS % RETURN
Ovintiv (OVV)
1999-2007
117,498,500%
QVC (QVCGA)
1999-2007
9,894,038.89%
India Globalization Capital (IGC)
1999-2007
9,833,233.33%
MAG Silver (MAG)
1999-2007
2,902,640%
Northern Oil & Gas (NOG)
1999-2007
2,278,907.69%
National Grid PLC ADR (NGG)
1999-2007
1,604,552.94%
Houston American Energy (HUSA)
1999-2007
789,452.39%
Know Labs (KNW)
1999-2007
763,220.61%
Perspective Therapeutics (CATX)
1999-2007
669,900%
Ring Energy (REI)
1999-2007
263,900%
Ocean Power Technologies (OPTT)
1999-2007
180,233.33%
Flexible Solutions International (FSI)
1999-2007
22,864.71%
First Majestic Silver (AG)
1999-2007
20,307.56%
Companhia Siderurgica Nacional ADR (SID)
1999-2007
17,821.53%
Gyre Therapeutics (GYRE)
1999-2007
17,414.09%
Broadwind Energy (BWEN)
1999-2007
17,060.69%
Site Centers (SITC)
1999-2007
11,305.77%
Versus Systems Inc. (VS)
1999-2007
10,020%
Deckers Outdoor (DECK)
1999-2007
7,194.16%
Monster Beverage (MNST)
1999-2007
6,502.5%
Gerdau SA ADR (GGB)
1999-2007
6,424.66%
Suzano Papel e Celulose SA ADR (SUZ)
1999-2007
6,414.16%
BlackBerry (BB)
1999-2007
5,792.44%
BP Prudhoe Bay Royalty Trust (BPT)
1999-2007
5,418.37%
NanoViricides (NNVC)
1999-2007
5,360%