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STLA
$4.69+7.57%
as of close, Oct 1, 2026
☾ AH $4.69 +7.57%
Stellantis N.V.Stock · IndustrialsMSCI EAFE 0.05%MSCI World 0.02%MSCI ACWI 0.01%
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Stellantis N.V. trailing returns

Stellantis N.V.'s 10-year return is +3.2% a year (CAGR) (+36.9% cumulative). How Stellantis N.V. (STLA) has performed over the last day, week, month and year, over 5, 10 and 20 years, and since inception, through October 1, 2026 — cumulative and annualized, with dividends on or off.

Trailing returns by period#

To 2026-10-01. Annualized (CAGR) for windows of a year or more.

PeriodPathAnnualizedCumulative
1 day—+7.6%
5 days—+4.9%
1 month—-12.3%
YTD—-56.9%
1 year
-51.3%
-51.3%
5 years
-19.5%
-66.3%
10 years
+3.2%
+36.9%
Since inception (2010)
+7.1%
+203.9%

Growth of STLA

Actual index level (solid); dashed lines are each window's constant-rate path from start to today.

Methodology#

Trailing returns measure from the closest close about N years before the latest close (2026-10-01). Cumulative return is the total change over the window; annualized return is the compound annual growth rate (CAGR), shown for windows of a year or more. Total return reinvests dividends (from STLA's split- and dividend-adjusted closes); price return excludes them. See the year-by-year returns for the calendar breakdown. Past performance does not predict future returns; not investment advice.

FAQ#

What is Stellantis N.V.'s 10-year return?
Over the last 10 years, Stellantis N.V. (STLA) returned about +3.2% a year annualized (+36.9% cumulative total return).
What is Stellantis N.V.'s return since inception?
Since 2010, Stellantis N.V. (STLA) has compounded at about +7.1% a year — +203.9% in total.

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