MRVL » Topics » STOCK PRICE PERFORMANCE GRAPH

These excerpts taken from the MRVL 10-K filed Apr 1, 2009.

Stock Price Performance Graph

This performance graph shall not be deemed “filed” for purposes of Section 18 of the Exchange Act or incorporated by reference into any filings under the Securities Act or the Exchange Act, except as shall be expressly set forth by specific reference in such filing.

The graph below compares the cumulative total shareholder return of our common shares with the cumulative total return of the S&P 500 Index and the Philadelphia Semiconductor Index since January 30, 2004, through January 31, 2009. The graph assumes that $100 was invested on January 30, 2004 in our common shares and on January 31, 2004 in each index and that any dividends were reinvested. No cash dividends have been declared on our common shares since our initial public offering in 2000. Shareholder returns over the indicated periods should not be considered indicative of future stock prices or shareholder returns.

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Stock Price Performance Graph

This performance graph shall not be deemed “filed” for purposes of Section 18 of the Exchange Act or incorporated by reference into any filings under the Securities Act or the Exchange Act, except as shall be expressly set forth by specific reference in such filing.

The graph below compares the cumulative total shareholder return of our common shares with the cumulative total return of the S&P 500 Index and the Philadelphia Semiconductor Index since January 30, 2004, through January 31, 2009. The graph assumes that $100 was invested on January 30, 2004 in our common shares and on January 31, 2004 in each index and that any dividends were reinvested. No cash dividends have been declared on our common shares since our initial public offering in 2000. Shareholder returns over the indicated periods should not be considered indicative of future stock prices or shareholder returns.

LOGO

Stock Price Performance Graph

FACE="Times New Roman" SIZE="2">This performance graph shall not be deemed “filed” for purposes of Section 18 of the Exchange Act or incorporated by reference into any filings under the Securities Act or the Exchange Act, except as
shall be expressly set forth by specific reference in such filing.

The graph below compares the cumulative total shareholder return of
our common shares with the cumulative total return of the S&P 500 Index and the Philadelphia Semiconductor Index since January 30, 2004, through January 31, 2009. The graph assumes that $100 was invested on January 30, 2004
in our common shares and on January 31, 2004 in each index and that any dividends were reinvested. No cash dividends have been declared on our common shares since our initial public offering in 2000. Shareholder returns over the indicated
periods should not be considered indicative of future stock prices or shareholder returns.



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These excerpts taken from the MRVL 10-K filed Mar 28, 2008.

Stock Price Performance Graph

        The graph below compares the cumulative total shareholder return of our common stock with the cumulative total return of the S&P 500 Index and the Philadelphia Semiconductor Index since February 3, 2002, through February 2, 2008. The graph assumes that $100 was invested on February 3, 2002 in our common stock and on January 31, 2002 in each index and that any dividends were reinvested. No cash dividends have been declared on our common stock since our initial public offering in 2000. Shareholder returns over the indicated periods should not be considered indicative of future stock prices or shareholder returns.


COMPARISON OF 5 YEAR CUMULATIVE TOTAL RETURN*
Among Marvell Technology Group Ltd., The S&P 500 Index
And The Philadelphia Semiconductor Index

CHART


    *
    100 invested on 2/1/03 in stock or 1/31/03 on index-including reinvestment of dividends.
    Index calculated on month-end basis.

      Copyright © 2008, Standard & Poor's, a division of The McGraw-Hill Companies, Inc. All rights reserved. www.researchdatagroup.com/S&P.htm

Stock Price Performance Graph



        The graph below compares the cumulative total shareholder return of our common stock with the cumulative total return of the S&P 500 Index and the
Philadelphia Semiconductor Index since February 3, 2002, through February 2, 2008. The graph assumes that $100 was invested on February 3, 2002 in our common stock and on
January 31, 2002 in each index and that any dividends were reinvested. No cash dividends have been declared on our common stock since our initial public offering in 2000. Shareholder returns
over the indicated periods should not be considered indicative of future stock prices or shareholder returns.



NAME="dk71301_comparison_of_5_year_cumulativ__com05411">


COMPARISON OF 5 YEAR CUMULATIVE TOTAL RETURN*
Among Marvell Technology Group Ltd., The S&P 500 Index
And The Philadelphia Semiconductor Index




CHART







    *
    100
    invested on 2/1/03 in stock or 1/31/03 on index-including reinvestment of dividends.

    Index calculated on month-end basis.




      Copyright
      © 2008, Standard & Poor's, a division of The McGraw-Hill Companies, Inc. All rights reserved. www.researchdatagroup.com/S&P.htm






This excerpt taken from the MRVL 10-K filed Jul 2, 2007.

Stock Price Performance Graph

The graph below compares the cumulative total shareholder return of our common stock with the cumulative total return of the S&P 500 Index and the Philadelphia Semiconductor Index since February 3, 2002, through January 27, 2007. The graph assumes that $100 was invested on February 3, 2002 in our common stock and on January 31, 2002 in each index and that any dividends were reinvested. No cash dividends have been declared on our common stock since our initial public offering in 2000. Shareholder returns over the indicated periods should not be considered indicative of future stock prices or shareholder returns.

This excerpt taken from the MRVL DEF 14A filed May 8, 2006.

STOCK PRICE PERFORMANCE GRAPH

The graph below compares the cumulative total shareholder return of the Company’s common stock with the cumulative total return of the S&P 500 Index and the Philadelphia Semiconductor Index since January 27, 2001, through January 28, 2006. The graph assumes that $100 was invested on January 27, 2001 in the Company’s common stock and on January 31, 2001 in each index and that any dividends were reinvested. No cash dividends have been declared on the Company’s common stock since the initial public offering. The comparisons in the table are required by the Securities and Exchange Commission and are not intended to forecast or be indicative of possible future performance of the Company’s common stock.

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