Plantronics 2009 Annual Report Download - page 118

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Company’s Stock Performance
COMPARISON OF 5 YEAR CUMULATIVE TOTAL RETURN*
Among Plantronics, Inc., The NASDAQ/AMEX/NYSE (US Companies) Index
And NYSE/AMEX/NASDAQ Stocks (SIC3660-3669 US Comp) Communications Equipment
$0
$20
$40
$60
$80
$100
$120
$140
$160
4/3/04 4/2/05 4/1/06 3/31/07 3/29/08 3/28/09
Plantronics, Inc.
NASDAQ/AMEX/NYSE (US Companies)
NYSE/AMEX/NASDAQ Stocks (SIC3660-3669 US Comp) Communications Equipment
*$100 invested on 4/3/04 in stock or 3/31/04 in index, including reinvestment of dividends.
Indexes calculated on month-end basis.
4/3/04 4/2/05 4/1/06 3/31/07 3/29/08 3/28/09
Plantronics, Inc. 100.00 101.84 96.19 64.81 52.85 33.46
NASDAQ/AMEX/NYSE (US Companies) 100.00 107.01 122.29 135.72 129.35 80.34
NYSE/AMEX/NASDAQ Stocks (SIC3660-3669 US Comp) Communicat 100.00 95.13 141.06 114.76 89.34 70.09
Set forth below is a line graph comparing the annual percentage change in the cumulative return to the stockholders of Plantronics common stock with
the cumulative return of the NYSE Stock Market index and a peer group index for the period commencing on the morning of April 3, 2004 and ending
on March 28, 2009. The information contained in the performance graph shall not be deemed to be “soliciting material” or to be “led” with the SEC,
nor shall such information be incorporated by reference into any future ling under the Exchange Act, except to the extent that Plantronics specically
incorporates it by reference into such ling.
The graph assumes that $100 was invested on the morning of April 3, 2004 in Plantronics common stock and in each index (based on prices from the
year for each period shown.
Past performance is no indication of future value and stockholder returns over the indicated period should not be considered indicative of future
returns.
ions Equipment
close of trading on March 31, 2004), and that dividends, if any, were reinvested. The measurement date used is the last day of the Company's fiscal