AQR Capital Management Stocks: Compare Returns of S&P 500 to The Cigna Group (CI)
S&P 500 prices are represented by SPDR® S&P 500® ETF (SPY) prices.
Prices for SPY and the designated stock are monthly closes adjusted for splits and dividends from Alpha Vantage.
Compare Returns for SPY and CI | ||
---|---|---|
SPY | CI | |
Start Date | Jul-31-2015 | Jul-31-2015 |
Start Price | $177.24 | $133.03 |
End Date | Jul-14-2025 | Jul-14-2025 |
End Price | $624.81 | $303.06 |
Number Monthly Prices | 121 | 121 |
Min Date | Sep-30-2015 | Oct-31-2016 |
Min Price | $162.21 | $109.76 |
Max Date | Jul-14-2025 | Aug-30-2024 |
Max Price | $624.81 | $355.45 |
Total Return | 252.52% | 127.82% |
Annualized Return | 13.31% | 8.51% |
Current Value of $1,000 Purchase | $3,525 | $2,278 |
Number Returns | 7,260 | 7,260 |
Average Return | 63.16% | 49.97% |
Minimum Return | -23.93% | -33.72% |
Maximum Return | 285.18% | 223.84% |
Number Profitable Returns | 6,877 | 6,367 |
Percent Profitable Returns | 94.72% | 87.70% |
Number Unprofitable Returns | 383 | 893 |
Percent Unprofitable Returns | 5.28% | 12.30% |
Profitable to Unprofitable Returns Ratio | 17.96 | 7.13 |
CI Performance Table and Chart
CI Dividend Chart
CI Dollar-cost Average
CI Correlation with S&P 500
CI Trendline Chart
CI Moving Average Chart
CI Stock Return Map - See Patterns of Gains and Losses
CI Stock Returns/Purchase Dates