Up or Down About

Oracle overview

Adjusted daily prices from 3 Jan 2000 to 25 Sep 2026: the price path, how deep and long the losses ran, when the stock made or lost money, and how turbulent it was.

Close · 25 Sep 2026
$137.10
Period return
+484.7%
Annualised return
+6.8%
Annualised volatility
39.2%
Max drawdown
-84.2%
Trading days
6,723

Risk

How painful holding this stock has been

Takeaway Worst fall: 84% from Sep 2000 to Jun 2002; back at the old high: Dec 2014.

Takeaway Volatility peaked at 112% in May 2001, against a typical 27%.

Returns by calendar

Good years, bad years, and whether any month stands out

Takeaway 17 of 27 years were positive. Best 2024 (+60%), worst 2001 (-52%).

Takeaway Best average month: Oct (+3.7%); worst: Aug (-0.7%). With about 26 years per month, these gaps are mostly noise.