worst performing stocks in the sandp 500 of the 1990 - 1995

NVR (NVR) had the lowest return between 1990 and 1995 by a US stock in the S&P 500 (GSPC), returning -93.5%.

ASSET YEARS % RETURN
NVR (NVR)
1990-1995
-93.49%
Deckers Outdoor (DECK)
1990-1995
-70.52%
Monster Beverage (MNST)
1990-1995
-61.9%
Regeneron Pharmaceuticals (REGN)
1990-1995
-42.05%
Old Dominion Freight Line (ODFL)
1990-1995
-40.73%
Costco Wholesale (COST)
1990-1995
-34.41%
Westinghouse Air Brake Technologies (WAB)
1990-1995
-29.09%
Cooper Companies (COO)
1990-1995
-25.93%
Martin Marietta Materials (MLM)
1990-1995
-16.36%
Texas Pacific Land Trust (TPL)
1990-1995
-15.65%
Contura Energy (CTRA)
1990-1995
-11.02%
CMS Energy (CMS)
1990-1995
-7.21%
Tyler Technologies (TYL)
1990-1995
-4.11%
Humana (HUM)
1990-1995
-3.96%
Apple (AAPL)
1990-1995
-3.2%
CVS Health (CVS)
1990-1995
-2.83%
Laboratory Corporation of America (LH)
1990-1995
-2.28%
FirstEnergy (FE)
1990-1995
-1.05%
Pool (POOL)
1990-1995
-0.44%
Hartford Financial Services (HIG)
1990-1995
0.78%
Occidental Petroleum (OXY)
1990-1995
1.1%
Estee Lauder Companies (EL)
1990-1995
7.31%
Baker Hughes (BKR)
1990-1995
7.38%
ResMed (RMD)
1990-1995
8.32%
Biogen (BIIB)
1990-1995
8.33%