returns by year
as of market close, July 2, 2026Marvell Technology Inc. has returned +12.2% annually (CAGR) since 2001. Calendar-year, monthly and weekly total returns for Marvell Technology Inc. (MRVL), dividends reinvested, below — the most recent year is year-to-date.
Marvell Technology Inc. returns by year (2001–2026)#
Calendar-year returns with each year's path and its dividend contribution (dividend return = total minus price return).
| Year | Start price | End price | Path | Dividend | Total return |
|---|---|---|---|---|---|
| 2026YTD | $84.98 | $245.29 | +0.4% | +189.0% | |
| 2025 | $110.45 | $84.98 | +0.2% | -22.8% | |
| 2024 | $60.31 | $110.45 | +0.7% | +83.8% | |
| 2023 | $37.04 | $60.31 | +0.9% | +63.7% | |
| 2022 | $87.49 | $37.04 | +0.2% | -57.5% | |
| 2021 | $47.54 | $87.49 | +0.6% | +84.6% | |
| 2020 | $26.56 | $47.54 | +1.3% | +80.3% | |
| 2019 | $16.19 | $26.56 | +1.7% | +65.7% | |
| 2018 | $21.47 | $16.19 | +1.0% | -23.6% | |
| 2017 | $13.87 | $21.47 | +2.1% | +56.9% | |
| 2016 | $8.82 | $13.87 | +3.3% | +60.5% | |
| 2015 | $14.50 | $8.82 | +1.3% | -37.8% |
Total return by period
Methodology#
Returns are total returns (dividends reinvested), computed from MRVL's split- and dividend-adjusted closes. The bar chart switches between annual and monthly periods. Annualized return is the compound annual growth rate over the full period. The current year is year-to-date. See also the periodic table of returns. Past performance does not predict future returns; not investment advice.
FAQ
- What is Marvell Technology Inc.'s average annual return?
- Since 2001, Marvell Technology Inc. (MRVL) has returned about 12.2% a year (the compound annual growth rate) and an average calendar-year return of 29.5%.
- What were Marvell Technology Inc.'s best and worst years?
- Over 2001–2026, the best year was 2009 (+211.1%) and the worst was 2022 (-57.5%).
- How often is Marvell Technology Inc. up in a year?
- 14 of the 25 full years since 2001 were positive — about 56% of the time.
More visualizations

What $1,000 in any stock or ETF would be worth today.

Every S&P 500 company sized by market cap — color by return or valuation.

S&P 500 returns by year, month, week and trailing period — total or price return.

Which month is best for stocks? Average return of every calendar month, for any ticker.

Asset-class returns ranked year by year — the Callan chart / asset allocation quilt.

The 11 S&P 500 sectors ranked year by year — a sector quilt chart, back to 1999.

The biggest US companies as animated bubbles, rising and falling with their total return over time.

How recent stock-market debuts have performed since listing — annualized, vs the S&P 500, by IPO vs spin-off.

Compare megacaps vs the S&P 500, rebased to 1× at any date you hover.

Where today's S&P 500 return ranks against all history — and the forward returns that followed similar moments.

Is the market expensive? The Shiller CAPE back to 1871 and what valuations have meant for the next decade.

The S&P 500 since 1871 — odds of gain by holding period, real drawdowns, and the growth of $1.

Stocks trading cheapest relative to their own P/E, P/FCF, P/S, or P/B history — with fair-value bands.

Follow a company's revenue through its income statement as a Sankey — costs, taxes, and profit.

Follow a company's cash from net income through operating cash flow into capex, buybacks, and dividends.

Monthly payment, principal vs interest by year, and the balance paydown — with extra-payment savings.

Should you rent or buy? Net-wealth verdict with sensitivity analysis of every assumption.

Live term structure, the 10Y–2Y spread, and every inversion episode.
