If you'd invested in Callaway Golf Company (CALY): performance and returns
Looking for Callaway Golf Company's share price history and how much the stock has returned? Here's its year-by-year performance and what $1,000 invested at different dates would be worth today.
💰 Calculator: how much would Callaway Golf Company have returned?
This calculator shows how much Callaway Golf Company stock would have returned based on the amount invested and the starting year. Pick a sum and a year and you'll instantly see what it would be worth today and the total gain. Real prices, excluding dividends.
If I'd invested $1,000 in Callaway Golf Company
| Investment | Worth today | Gain |
|---|---|---|
| 1 years ago | $2,415 | +141% |
| 3 years ago | $961 | -4% |
| 5 years ago | $791 | -21% |
| 10 years ago | $2,015 | +101% |
| since inception (1992) | $6,043 | +504% |
Return by year (Callaway Golf Company)
| Year | Return | $1,000 invested at year start |
|---|---|---|
| 2026 (YTD) | +63% | $1,626 (+63%) |
| 2025 | +48% | $2,415 (+141%) |
| 2024 | -45% | $1,324 (+32%) |
| 2023 | -27% | $961 (-4%) |
| 2022 | -28% | $692 (-31%) |
| 2021 | +14% | $791 (-21%) |
| 2020 | +13% | $895 (-10%) |
| 2019 | +39% | $1,241 (+24%) |
| 2018 | +10% | $1,363 (+36%) |
| 2017 | +27% | $1,732 (+73%) |
| 2016 | +16% | $2,015 (+101%) |
Frequently asked questions
How much does CALY return?
$1,000 invested in Callaway Golf Company 10 years ago would be worth $2,015 today, i.e. +7%/yr on average (price, excluding dividends).
What was CALY's best/worst year?
Best year: 2025 (+48%). Worst year: 2024 (-45%). Year-by-year detail is above.
How much would $1,000 invested in CALY since inception be worth?
Since 1992, $1,000 would have become $6,043 (+504%). Past performance is not a guarantee.
Do Callaway Golf Company's returns include dividends?
No — these returns are price-only. If Callaway Golf Company pays a dividend, its total return would be somewhat higher — see its dividend page.
What is Callaway Golf Company's average annual return (ROI)?
Callaway Golf Company's return on investment is about +7%/yr over 10 years (price, excluding dividends), versus the S&P 500's ~10%/yr over the long run.