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MO

Altria Group, Inc.

Stock

$69.13+0.31 (+0.45%)Close Sep 28, 2026

MO returned 17.26% a year from Jan 1962 to Sep 2026, turning $10,000 into $298,954,521. It fell 65.43% from Nov 1998 to Feb 2000, and it took 2.3 years to get back to its high.

Jan 2, 1962 – Sep 28, 2026

$10,000 became$298,954,521
CAGR17.26%
Max drawdown−65.43%
Sharpe ratio0.75

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Growth of $10,000

  • MO

Trailing returns

PeriodMO
1M+2.31%
3M−4.82%
6M+7.23%
YTD+25.70%
1Y+12.32%
3Y+27.01%
5Y+16.03%
10Y+7.99%
15Y+13.46%
20Y+13.72%
25Y+14.08%
30Y+14.31%
Since 1962+17.26%

Metrics

ReturnMO
Final balance$298,954,521
Total return2,989,445.21%
CAGR17.26%
Calendar yearsMO
Best year105.88%
Worst year−54.67%
Positive years53 of 64
RiskMO
Max drawdown−65.43%
Longest drawdown7.1 years
Volatility (annualized)25.42%
Risk-adjustedMO
Sharpe ratio0.75
Sortino ratio1.10
Calmar ratio0.26

Worst drawdowns

DeclinePeakBottomRecovered
−65.4%Nov 1998Feb 2000Mar 2001
−53.7%Jun 2017Mar 2020Jul 2024
−48.3%Jun 2002Apr 2003Dec 2003
−47.3%Mar 1973Oct 1974Sep 1977
−46.1%Sep 1992Apr 1993Jun 1995

Annual returns

YearMO
1962−29.42%
1963+5.62%
1964+3.87%
1965+25.94%
1966+21.21%
1967+34.73%
1968+48.39%
1969+15.42%
1970+41.21%
1971+44.63%
1972+70.52%
1973−1.84%
1974−15.01%
1975+12.53%
1976+18.91%
1977+2.93%
1978+17.42%
1979+5.94%
1980+25.22%
1981+17.39%
1982+28.91%
1983+25.22%
1984+17.83%
1985+14.92%
1986+68.97%
1987+22.88%
1988+24.62%
1989+69.16%
1990+28.73%
1991+59.43%
1992−1.00%
1993−24.30%
1994+9.13%
1995+63.44%
1996+30.68%
1997+24.56%
1998+22.84%
1999−54.67%
2000+105.88%
2001+9.14%
2002−6.82%
2003+42.82%
2004+18.34%
2005+27.71%
2006+19.87%
2007+22.22%
2008−31.33%
2009+40.36%
2010+33.92%
2011+27.66%
2012+11.74%
2013+28.54%
2014+34.48%
2015+23.11%
2016+20.44%
2017+9.45%
2018−27.14%
2019+7.87%
2020−10.21%
2021+24.18%
2022+4.37%
2023−3.70%
2024+40.76%
2025+18.17%
2026to Sep 28+25.70%

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