best performing stocks between 1992-2000

AngloGold Ashanti (AU) had the highest return between 1992 and 2000 by a US stock, returning 2,522,300%.

ASSET YEARS % RETURN
AngloGold Ashanti (AU)
1992-2000
2,522,300%
Universal Insurance (UVE)
1992-2000
204,400%
Suncor Energy (SU)
1992-2000
100,233.33%
Inuvo (INUV)
1992-2000
79,761.11%
Empire Petroleum (EP)
1992-2000
38,443.53%
Viavi Solutions (VIAV)
1992-2000
16,069.81%
Flexible Solutions International (FSI)
1992-2000
11,168.63%
Royal Gold (RGLD)
1992-2000
9,347.86%
Semtech (SMTC)
1992-2000
9,312.33%
Cisco Systems (CSCO)
1992-2000
8,309.4%
Oracle (ORCL)
1992-2000
8,018.19%
Bausch Health Companies (BHC)
1992-2000
7,668.36%
Johnson Controls International (JCI)
1992-2000
5,781.84%
Sanmina (SANM)
1992-2000
5,738.1%
Jack Henry & Associates (JKHY)
1992-2000
5,704.49%
Qualcomm (QCOM)
1992-2000
5,457.03%
NetApp (NTAP)
1992-2000
4,909.71%
Skyworks Solutions (SWKS)
1992-2000
4,339.96%
CVD Equipment (CVV)
1992-2000
4,031.13%
Argan (AGX)
1992-2000
3,900.63%
Paychex (PAYX)
1992-2000
3,779.19%
Nokia (NOK)
1992-2000
3,520.73%
Applied Materials (AMAT)
1992-2000
3,416.7%
Kohl's (KSS)
1992-2000
3,385.75%
SEI Investments (SEIC)
1992-2000
3,252.44%