CVS » Topics » December 31, 2000 through December 31, 2005

This excerpt taken from the CVS DEF 14A filed Mar 24, 2006.

December 31, 2000 through December 31, 2005

 

LOGO

 

    Year End

 

1-Yr.
Compound

Annual

Return
Rate

   

3-Yr.

Compound

Annual

Return
Rate

   

5-Yr.

Compound

Annual

Return
Rate

 
    2000   2001   2002   2003   2004   2005      

CVS Corporation

  $ 100   $ 50   $ 42   $ 62   $ 77   $ 91   17.9 %   29.3 %   -1.8 %

S&P 500 (1)

  $ 100   $ 88   $ 69   $ 88   $ 98   $ 103   4.9 %   14.4 %   0.5 %

S&P 500 Food & Staples Retail Group Index (2)

  $ 100   $ 77   $ 64   $ 63   $ 65   $ 62   -4.1 %   -0.7 %   -9.0 %

 

  (1) Index includes CVS.
  (2) Index currently includes Albertson’s, Costco, CVS, Kroger, Safeway, Supervalu, Sysco, Wal-Mart and Walgreen.

 

The year-end values of each investment shown in the preceding graph are based on share price appreciation plus dividends, with the dividends reinvested as of the last business day of the month during which such dividends were ex-dividend. The calculations exclude trading commissions and taxes. Total stockholder returns from each investment, whether measured in dollars or percentages, can be calculated from the year-end investment values shown beneath the graph. CVS has outperformed the S&P 500 Food & Staples Retail Group Index in each period displayed, over 1 year, over 3 years, and over 5 years.

 

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"December 31, 2000 through December 31, 2005" elsewhere:

Wal-Mart (WMT)
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