worst performing stocks, between january 20, 2002 and july 2002, with a market cap of more than 20b

Quanta Services (PWR) had the lowest return between January 20, 2002 and July 31, 2002 by a US stock with a market cap of $20B+, returning -86.6%.

ASSET DATE % RETURN
Quanta Services (PWR)
1/20/2002 - 7/31/2002
-86.62%
NVIDIA (NVDA)
1/20/2002 - 7/31/2002
-82.8%
Williams Companies (WMB)
1/20/2002 - 7/31/2002
-82.57%
VeriSign (VRSN)
1/20/2002 - 7/31/2002
-82.1%
Corning (GLW)
1/20/2002 - 7/31/2002
-81.71%
MicroStrategy (MSTR)
1/20/2002 - 7/31/2002
-80.21%
Telefonaktiebolaget LM Ericsson B ADR (ERIC)
1/20/2002 - 7/31/2002
-79.62%
Xcel Energy (XEL)
1/20/2002 - 7/31/2002
-73.96%
Johnson Controls International (JCI)
1/20/2002 - 7/31/2002
-72.96%
Axon Enterprise (AXON)
1/20/2002 - 7/31/2002
-71.55%
Ciena (CIEN)
1/20/2002 - 7/31/2002
-70.99%
Booking (BKNG)
1/20/2002 - 7/31/2002
-67.37%
Flex (FLEX)
1/20/2002 - 7/31/2002
-66.44%
CMS Energy (CMS)
1/20/2002 - 7/31/2002
-65.18%
Telus (TU)
1/20/2002 - 7/31/2002
-62.69%
CenterPoint Energy (CNP)
1/20/2002 - 7/31/2002
-60.09%
PTC (PTC)
1/20/2002 - 7/31/2002
-59.06%
Marvell Technology (MRVL)
1/20/2002 - 7/31/2002
-55.4%
NetApp (NTAP)
1/20/2002 - 7/31/2002
-55.17%
Check Point Software Technologies (CHKP)
1/20/2002 - 7/31/2002
-54.65%
Itau Unibanco Banco (ITUB)
1/20/2002 - 7/31/2002
-53.79%
Advanced Micro Devices (AMD)
1/20/2002 - 7/31/2002
-53.26%
Celestica (CLS)
1/20/2002 - 7/31/2002
-50.4%
Bristol-Myers Squibb (BMY)
1/20/2002 - 7/31/2002
-50.29%
CGI (GIB)
1/20/2002 - 7/31/2002
-47.85%