Ingram Micro 2010 Annual Report Download - page 93

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STOCK PERFORMANCE GRAPH
CUMULATIVE TOTAL RETURNS
The stock price performance graph below, which assumes a $100 investment on the last trading day of our 2005
fiscal year (December 30, 2005) and reinvestment of any dividends, compares our cumulative total shareholder
return, the NYSE Composite Index and the Standard Industrial Classification (“SIC”) Code Index (SIC Code
5045 Computer and Computer Peripheral Equipment and Software) for the five year period ended on the last
trading day of our 2010 fiscal year (December 31, 2010). The historical price performance of our common stock is
not an indication of its future performance.
COMPARISON OF 5 YEAR CUMULATIVE TOTAL RETURN*
Among Ingram Micro Inc., The NYSE Composite Index
and SIC Code Index
0
50
100
150
200
$250
1/1/11*1/2/10*1/3/09*12/29/07*12/30/06*12/31/05*
INGRAM MICRO INC.
NYSE COMPOSITE INDEX
SIC CODE INDEX
FISCAL YEAR ENDING*
12/31/05 12/30/06 12/29/07 1/3/09 1/2/10 1/1/11
Ingram Micro Inc. 100.00 102.41 92.12 70.15 87.56 95.79
NYSE Composite Index 100.00 112.60 97.34 64.59 93.91 101.04
SIC Code Index 100.00 119.94 132.01 81.88 102.20 115.87
*$100 invested starting on the last trading day of our fiscal year ending December 31, 2005 in stock or index,
including reinvestment of dividends. Information provided is as of the last trading day of each fiscal year.