spectrum stock between 1972 to 1980

Boeing (BA) had the highest return between 1972 and 1980 by a US stock, returning 1,250.3%.

ASSET YEARS % RETURN
Boeing (BA)
1972-1980
1,250.31%
General Dynamics (GD)
1972-1980
840.1%
BP PLC ADR (BP)
1972-1980
600.29%
Spectrum Brands (SPB)
1972-1980
584.76%
Raytheon Technologies (RTX)
1972-1980
552.6%
Revvity (RVTY)
1972-1980
491.46%
Avnet (AVT)
1972-1980
474.67%
Halliburton (HAL)
1972-1980
473.43%
Chevron (CVX)
1972-1980
361.03%
Western Digital (WDC)
1972-1980
338.9%
HP (HPQ)
1972-1980
332.26%
Deere (DE)
1972-1980
322.46%
Ampco-Pittsburgh (AP)
1972-1980
320%
Walmart (WMT)
1972-1980
296.49%
Rand Capital (RAND)
1972-1980
266.67%
Lockheed Martin (LMT)
1972-1980
262.17%
Tutor Perini (TPC)
1972-1980
260%
WD-40 (WDFC)
1972-1980
202.65%
Lennar (LEN)
1972-1980
199.98%
Matson (MATX)
1972-1980
193.82%
Alcoa (AA)
1972-1980
186.93%
CACI International (CACI)
1972-1980
165.9%
Sysco (SYY)
1972-1980
155.79%
New York Times (NYT)
1972-1980
155.64%
Range Resources (RRC)
1972-1980
150%