stock performance 2000 - 2006

Ovintiv (OVV) had the highest return between 2000 and 2006 by a US stock, returning 78,354,300%.

ASSET YEARS % RETURN
Ovintiv (OVV)
2000-2006
78,354,300%
QVC (QVCGA)
2000-2006
11,185,255.56%
India Globalization Capital (IGC)
2000-2006
9,733,233.33%
Know Labs (KNW)
2000-2006
7,785,769.97%
Houston American Energy (HUSA)
2000-2006
1,905,180.67%
Perspective Therapeutics (CATX)
2000-2006
1,633,233.33%
National Grid PLC ADR (NGG)
2000-2006
1,344,788.24%
Ocean Power Technologies (OPTT)
2000-2006
188,788.89%
Gyre Therapeutics (GYRE)
2000-2006
19,089.16%
First Majestic Silver (AG)
2000-2006
18,244.89%
Gulf Resources (GURE)
2000-2006
13,400%
NanoViricides (NNVC)
2000-2006
10,260%
TherapeuticsMD (TXMD)
2000-2006
9,900.01%
Site Centers (SITC)
2000-2006
9,676.39%
Oramed Pharmaceuticals (ORMP)
2000-2006
6,866.14%
Monster Beverage (MNST)
2000-2006
6,193.05%
Dmc Global (BOOM)
2000-2006
4,441.47%
US Global Investors (GROW)
2000-2006
4,033.83%
Denison Mines (DNN)
2000-2006
4,004.62%
Clean Harbors (CLH)
2000-2006
3,871.94%
MEDIFAST (MED)
2000-2006
3,555.55%
HF Sinclair (DINO)
2000-2006
3,430.68%
Versus Systems Inc. (VS)
2000-2006
3,400%
Companhia Siderurgica Nacional ADR (SID)
2000-2006
3,127.87%
Amedisys (AMED)
2000-2006
3,087.55%