Akamai Technologies AKAM
equity
Price History
Time underwater
How far below its previous all-time high the price sat, each month. 0% means a new high.
Worst drawdown: −100%, peaking Dec 1999 and bottoming Sep 2002 — still unrecovered after 320 months.
DCA Backtest
- Invested
- $32,300
- Value today
- $253,846
- Return
- +685.9%
- Months invested
- 323
Scenarios
Inflation — the same contributions merely keeping pace with CPI would be $47,235 today, so the real (inflation-adjusted) return is +437.4%.
Lump sum instead — $32,300 all at once in Oct 1999: $27,315 (-15.4%) — DCA came out ahead.
Worst timing — same monthly amount started at the all-time high (Dec 1999): $253,710 on $32,100 invested (+690.4%).
⚠ Price returns only — dividends are not included. This understates the true return of dividend-paying shares, and any comparison against crypto (which pays no dividends) is biased against equities by roughly the dividend yield, compounded.
If this saved you a spreadsheet — buy me a coffee.
Every start month at once
Each cell is the return-to-date of £/$/€100-a-month DCA started that month. Click a cell to load it in the backtest above. The ringed cell is the all-time-high start — the worst timing scenario.
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About Akamai Technologies
Akamai Technologies, Inc. is an American company specializing in content delivery network (CDN), cybersecurity, DDoS mitigation, and cloud services. It is headquartered in Cambridge, Massachusetts. (Wikipedia)
It's a listed company categorised under information technology and internet services & infrastructure, with a market cap of about $17.6B.
It rates Medium-Low Risk at 1.8/5, meaning the rated factors are mostly sound, with one or two areas worth watching.
What pushes the score up: market / volatility (4.0/5).
Scoring well: sector / regulatory at 1.0/5.
Not yet researched: concentration, governance. These are excluded from the score rather than guessed, so the real risk may be higher than what’s shown.
Ratings summarise sourced facts against fixed rules — not investment advice, and no substitute for your own diligence.
Risk Profile
- Annualised volatility (3yr)3/536.7
- Max drawdown from ATH5/599.7
- Beta vs S&P 5004/51.6
- Avg daily $ volume1/5657.1m
- Float % of shares outstandingnot yet researched
- Debt / equitynot yet researched
- Interest coverage (EBIT / interest)1/518.4
- 3yr EPS volatility1/50.70
- Largest customer, % of revenuenot yet researched
- Geographic revenue concentrationnot yet researched
- Board independence %not yet researched
- Share structurenot yet researched
- Litigation / audit historynot yet researched
- Sector regulatory exposure1/5low
Linked Assets
Same sector, or return-correlated — worth knowing what else might move if this one does.
- Verisign VRSN+54% (moderate)same category: information technology, internet services & infrastructure
- GoDaddy GDDY+19% (weak)same category: information technology, internet services & infrastructure
- Cisco CSCO+53% (moderate)same category: information technology
- F5, Inc. FFIV+51% (moderate)same category: information technology
- NetApp NTAP+48% (moderate)same category: information technology
- Marvell Technology MRVL+47% (moderate)same category: information technology
- Corning Inc. GLW+46% (moderate)same category: information technology
- PTC Inc. PTC+45% (moderate)same category: information technology