Axon Enterprise (AXON)

S&P 500 · Nasdaq-100 · Industrials · data since 2001-06-19 · last close 2026-07-24

1d
+2.12%
7d
-1.56%
30d
+9.99%
YTD
-11.55%
1y
-29.17%

Axon Enterprise (AXON) monthly returns (%)

YearJanFebMarAprMayJunJulAugSepOctNovDec
2026-14.812.2-21.7-5.411.724.9-10.4·····
20259.7-19.0-0.516.622.410.3-8.8-1.1-4.02.0-26.25.1
2024-3.623.41.80.3-10.24.52.021.69.56.052.8-8.1
202317.82.512.3-6.3-8.41.1-4.714.5-6.52.812.412.4
2022-10.90.2-1.8-18.5-9.7-8.118.35.9-0.825.626.5-9.8
202134.00.8-13.96.5-7.325.85.2-2.2-3.82.8-6.2-7.0
20204.80.7-8.52.74.529.2-15.33.15.99.027.1-2.5
201916.65.51.116.75.2-3.99.4-14.6-5.3-9.944.3-0.7
2018-0.131.612.96.851.7-0.87.50.50.3-9.8-29.60.6
20173.02.8-11.27.8-2.34.7-2.2-11.74.41.38.36.5
2016-11.025.91.3-7.022.511.216.4-6.55.7-21.821.7-11.0
20152.0-13.12.725.24.65.5-18.3-14.0-5.86.3-20.1-7.5
20141.119.7-4.9-11.7-17.80.2-9.329.9-1.522.014.023.3
2013-6.4-10.86.410.87.7-10.24.231.127.819.5-3.3-7.6
2012-7.0-15.37.76.017.0-2.63.2-1.112.929.35.88.2
2011-10.8-9.87.49.81.60.4-9.78.3-3.115.321.1-14.9
201028.834.0-22.4-19.1-5.9-12.85.1-11.56.92.31.516.6
2009-4.0-15.28.82.6-9.24.615.1-13.33.7-13.33.43.5
2008-20.1-1.9-16.6-20.6-5.8-29.01.029.010.0-29.9-13.221.4
20071.82.51.17.522.132.59.4-6.39.66.1-15.92.7
200635.61.310.81.0-12.9-15.1-8.77.6-1.421.5-8.9-10.3
2005-43.2-27.6-7.8-28.031.3-11.5-3.2-11.0-28.7-0.3-0.814.1
200462.122.343.9-17.4-12.152.1-27.6-11.836.18.934.215.3
20032.5-3.67.889.120.532.656.121.96.2139.024.95.0
200223.63.88.80.6-11.3-29.9-59.729.3-17.9-30.915.5-1.5
2001·····15.9-2.336.00.611.636.55.6
Avg4.52.91.03.04.45.1-1.05.32.48.69.02.4

Values in %. Current and first-listed months are partial (greyed).

returnsview.com

Seasonality — average by calendar month

MonthJanFebMarAprMayJunJulAugSepOctNovDec
Avg+4.5%+2.9%+1.0%+3.0%+4.4%+5.1%-0.7%+5.3%+2.4%+8.6%+9.0%+2.4%
Win rate56%/2564%/2560%/2564%/2552%/2562%/2652%/2552%/2556%/2572%/2564%/2556%/25

Win rate = share of positive months / sample size.

Risk & extremes

Max drawdown
-91.8%
Worst peak-to-trough fall on record
Monthly volatility
±19.1%
Std. dev. of monthly returns
Positive months
59%
Share of completed months in the green
Best month
+138.96%
2003-10
Worst month
-59.67%
2002-07
Longest streaks
13▲ / 6▼
Consecutive up / down months

Drawdown & rolling returns

-89%-44%0%

Percent below the all-time high at each month-end — how far underwater the asset was.

About Axon Enterprise

Axon Enterprise measures its order book in years, not quarters — with price receipts on this site going back to 2001. And the long game: $100 at its first close here (2001) would be about $105,066 today.

Did you know?

  • Its best month on record was October 2003 at +138.96%; its worst, July 2002 at -59.67%.
  • It has closed October in the green 18 out of 25 times — calendar astrology, but the fun kind.

Trivia for entertainment — the numbers come from our price data; the jokes don't.