stock sectors ranked by performance 2000 to 2010

QVC (QVCGA) had the highest return between 2000 and 2010 by a US stock, returning 8,177,603.7%.

ASSET YEARS % RETURN
QVC (QVCGA)
2000-2010
8,177,603.7%
Know Labs (KNW)
2000-2010
4,885,152.16%
Houston American Energy (HUSA)
2000-2010
4,701,043.45%
Sprott (SII)
2000-2010
2,908,593.75%
Global Ship Lease (GSL)
2000-2010
2,577,980%
National Grid PLC ADR (NGG)
2000-2010
657,937.04%
Perspective Therapeutics (CATX)
2000-2010
376,566.67%
Aris Mining (ARMN)
2000-2010
326,443.75%
Ring Energy (REI)
2000-2010
133,233.33%
Northern Oil & Gas (NOG)
2000-2010
98,846.96%
First Majestic Silver (AG)
2000-2010
63,644%
Gulf Resources (GURE)
2000-2010
53,350%
Ferguson (FERG)
2000-2010
48,228.13%
Pioneer Power Solutions (PPSI)
2000-2010
29,429.23%
MAG Silver (MAG)
2000-2010
23,614.84%
Future Fintech (FTFT)
2000-2010
23,150%
Companhia Siderurgica Nacional ADR (SID)
2000-2010
13,662.3%
India Globalization Capital (IGC)
2000-2010
10,620.89%
Monster Beverage (MNST)
2000-2010
9,668.39%
Deckers Outdoor (DECK)
2000-2010
9,015.23%
MEDIFAST (MED)
2000-2010
8,298.73%
BRF SA ADR (BRFS)
2000-2010
7,599.85%
Clean Harbors (CLH)
2000-2010
6,798.59%
BP Prudhoe Bay Royalty Trust (BPT)
2000-2010
5,944.93%
BTCS (BTCS)
2000-2010
5,920%