best performing stock between july 31, 1974 and oct 31, 1999

AngloGold Ashanti (AU) had the highest return between July 31, 1974 and October 31, 1999 by a US stock, returning 2,552,271.4%.

ASSET DATE % RETURN
AngloGold Ashanti (AU)
7/31/1974 - 10/31/1999
2,552,271.43%
Aegon NV ADR (AEG)
7/31/1974 - 10/31/1999
602,591.67%
MDU Resources (MDU)
7/31/1974 - 10/31/1999
349,500%
Universal Insurance (UVE)
7/31/1974 - 10/31/1999
347,600%
Walmart (WMT)
7/31/1974 - 10/31/1999
176,254.41%
Home Depot (HD)
7/31/1974 - 10/31/1999
175,938.69%
Nike (NKE)
7/31/1974 - 10/31/1999
145,971.43%
Quantum (QMCO)
7/31/1974 - 10/31/1999
140,432.54%
McDonald’s (MCD)
7/31/1974 - 10/31/1999
140,038.22%
Gap (GAP)
7/31/1974 - 10/31/1999
115,177.22%
Polaris Industries (PII)
7/31/1974 - 10/31/1999
78,277.59%
Inuvo (INUV)
7/31/1974 - 10/31/1999
76,288.89%
Altria (MO)
7/31/1974 - 10/31/1999
74,825%
Hormel Foods (HRL)
7/31/1974 - 10/31/1999
59,144.44%
Microsoft (MSFT)
7/31/1974 - 10/31/1999
52,205.73%
Cisco Systems (CSCO)
7/31/1974 - 10/31/1999
47,753.28%
Franklin Resources (BEN)
7/31/1974 - 10/31/1999
38,854.42%
US Bancorp (USB)
7/31/1974 - 10/31/1999
34,439.53%
Suncor Energy (SU)
7/31/1974 - 10/31/1999
33,181.01%
Badger Meter (BMI)
7/31/1974 - 10/31/1999
29,449.45%
Caledonia Mining (CMCL)
7/31/1974 - 10/31/1999
28,940.38%
Sysco (SYY)
7/31/1974 - 10/31/1999
28,680.92%
Empire Petroleum (EP)
7/31/1974 - 10/31/1999
28,048.13%
State Street (STT)
7/31/1974 - 10/31/1999
25,010.72%
Target (TGT)
7/31/1974 - 10/31/1999
23,671.36%