worst performing s and p 500 stocks between january 1998 and february 11th 1998

Exelon (EXC) had the lowest return between January 1, 1998 and February 11, 1998 by a US stock in the S&P 500 (GSPC), returning -17.1%.

ASSET DATE % RETURN
Exelon (EXC)
1/1/1998 - 2/11/1998
-17.13%
Microchip Technology (MCHP)
1/1/1998 - 2/11/1998
-15.98%
International Flavors & Fragrances (IFF)
1/1/1998 - 2/11/1998
-14.11%
Occidental Petroleum (OXY)
1/1/1998 - 2/11/1998
-12.31%
Ameren (AEE)
1/1/1998 - 2/11/1998
-12.21%
NetApp (NTAP)
1/1/1998 - 2/11/1998
-12.14%
Baker Hughes (BKR)
1/1/1998 - 2/11/1998
-11.46%
Thermo Fisher Scientific (TMO)
1/1/1998 - 2/11/1998
-10.94%
AES (AES)
1/1/1998 - 2/11/1998
-10.86%
Lam Research (LRCX)
1/1/1998 - 2/11/1998
-10.8%
Fair Isaac (FICO)
1/1/1998 - 2/11/1998
-10.55%
Kellanova (K)
1/1/1998 - 2/11/1998
-10.38%
Dupont De Nemours (DD)
1/1/1998 - 2/11/1998
-10.27%
ONEOK (OKE)
1/1/1998 - 2/11/1998
-9.97%
Viatris (VTRS)
1/1/1998 - 2/11/1998
-9.88%
Devon Energy (DVN)
1/1/1998 - 2/11/1998
-9.74%
Ball (BALL)
1/1/1998 - 2/11/1998
-8.7%
Snap-On (SNA)
1/1/1998 - 2/11/1998
-8.31%
Tyson Foods (TSN)
1/1/1998 - 2/11/1998
-8.23%
Atmos Energy (ATO)
1/1/1998 - 2/11/1998
-8.23%
Xcel Energy (XEL)
1/1/1998 - 2/11/1998
-8.14%
PPL (PPL)
1/1/1998 - 2/11/1998
-8.05%
Everest (EG)
1/1/1998 - 2/11/1998
-7.88%
Halliburton (HAL)
1/1/1998 - 2/11/1998
-7.82%
Qualcomm (QCOM)
1/1/1998 - 2/11/1998
-7.81%