best performing stocks of 1992-1999

AngloGold Ashanti (AU) had the highest return between 1992 and 1999 by a US stock, returning 4,088,525%.

ASSET YEARS % RETURN
AngloGold Ashanti (AU)
1992-1999
4,088,525%
Universal Insurance (UVE)
1992-1999
419,200%
Inuvo (INUV)
1992-1999
86,705.56%
Suncor Energy (SU)
1992-1999
80,230.56%
Viavi Solutions (VIAV)
1992-1999
31,185.07%
Empire Petroleum (EP)
1992-1999
21,260.32%
Qualcomm (QCOM)
1992-1999
11,808.52%
Cisco Systems (CSCO)
1992-1999
11,675.9%
Royal Gold (RGLD)
1992-1999
11,595.73%
Semtech (SMTC)
1992-1999
11,018.81%
Oracle (ORCL)
1992-1999
7,725.76%
Applied Materials (AMAT)
1992-1999
5,733.37%
Argan (AGX)
1992-1999
4,700.76%
Bausch Health Companies (BHC)
1992-1999
4,587.72%
Johnson Controls International (JCI)
1992-1999
3,875.99%
Nokia (NOK)
1992-1999
3,861.87%
Jabil Circuit (JBL)
1992-1999
3,793.27%
Sanmina (SANM)
1992-1999
3,704.76%
VeriSign (VRSN)
1992-1999
3,625.59%
Best Buy (BBY)
1992-1999
3,499.83%
Wolfspeed (WOLF)
1992-1999
3,402.63%
Skyworks Solutions (SWKS)
1992-1999
3,338.72%
NetApp (NTAP)
1992-1999
3,141.43%
Amazon (AMZN)
1992-1999
3,022.48%
Microchip Technology (MCHP)
1992-1999
3,005.97%