Home Depot 2006 Annual Report Download - page 28

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17MAR200712455617
Stock Performance Graph
This graph depicts the Company’s cumulative total shareholder returns relative to the performance of
the Standard & Poor’s 500 Composite Stock Index and the Standard & Poor’s Retail Composite Index
for the five-year period commencing February 4, 2002, the first trading day of Fiscal 2002, and ending
on January 26, 2007, the last trading day of Fiscal 2006. The graph assumes $100 invested at the closing
price of the Company’s common stock on the New York Stock Exchange and each index on February 1,
2002 and assumes that all dividends were reinvested on the date paid. The points on the graph
represent fiscal year-end amounts based on the last trading day in each fiscal year.
February 1,
2002
January 30,
2004
January 31,
2003
January 28,
2005
January 27,
2006
January 26,
2007
S&P 500 Index
The Home Depot
S&P Retail Composite Index
$0
$25
$50
$75
$100
$125
$150
$175
Fiscal 2001 Fiscal 2002 Fiscal 2003 Fiscal 2004 Fiscal 2005 Fiscal 2006
The Home Depot $100.00 $42.57 $ 72.88 $ 83.75 $ 83.72 $ 85.12
S&P 500 Index $100.00 $77.53 $104.34 $109.90 $122.67 $138.49
S&P Retail Composite Index $100.00 $71.95 $107.54 $123.56 $134.39 $150.06
18