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GRMN
Garmin Ltd. Common Stock (Switzerland)Stock · Consumer DiscretionaryS&P 500 Equal Weight 0.2% · S&P 500 0.06% · Russell 1000 0.06% · US Stock Market 0.05% · Russell 3000 0.05% · MSCI ACWI 0.04% · MSCI World 0.04%
$282.67+3.85%
as of market close, Sep 11, 2026
☾ AH
PeersTSLAAMZNBABAHDMCDBKNG

Garmin Ltd. Common Stock (Switzerland) returns by year

Through September 11, 2026

Garmin Ltd. Common Stock (Switzerland) returns by year (2001–2026)#

Garmin Ltd. Common Stock (Switzerland) annual returns by year
YearTotal return
2026YTD
+40.5%
2025
-0.1%
2024
+63.3%
2023
+43.1%
2022
-30.2%
2021
+15.9%
2020
+25.9%
2019
+58.1%
2018
+9.8%
2017
+28.9%
2016
+36.6%
2015
-26.1%
2014
+18.3%
2013
+18.6%
2012
+6.7%
2011
+34.6%
2010
+5.1%
2009
+64.0%
2008
-79.3%
2007
+75.6%
2006
+69.5%
2005
+10.0%
2004
+12.6%
2003
+87.6%
2002
+37.4%
2001
+7.9%
Annualized
+16.9%
2001–2026
Average year
+23.8%
25 full years
Best year
+87.6%
2003
Worst year
-79.3%
2008
Positive years
21/25
84% up

Total return by period#

Annual

Methodology#

Returns are total returns (dividends reinvested), computed from GRMN'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. Past performance does not predict future returns; not investment advice.

FAQ#

What is Garmin Ltd. Common Stock (Switzerland)'s average annual return?
Since 2001, Garmin Ltd. Common Stock (Switzerland) (GRMN) has returned about 16.9% a year (the compound annual growth rate) and an average calendar-year return of 23.8%.
What were Garmin Ltd. Common Stock (Switzerland)'s best and worst years?
Over 2001–2026, the best year was 2003 (+87.6%) and the worst was 2008 (-79.3%).
How often is Garmin Ltd. Common Stock (Switzerland) up in a year?
21 of the 25 full years since 2001 were positive — about 84% of the time.

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