Historical return extremes for Fiserv (FISV) from 1986 to 2026
What if you bought at the best or worst time? Max profit, max drawdown, and total return since IPO.
| Scenario | Return | Start date | Start price | End date | End price | $1,000 becomes |
|---|---|---|---|---|---|---|
| Max profitMore info about Max profit | +96,222% | $0.25 | $237.79 | $963,219.51 | ||
| Max drawdownMore info about Max drawdown | -77.98% | $237.79 | $52.37 | $220.24 | ||
| Return since IPOMore info about Return since IPO | +20,175% | $0.27 | $53.78 | $202,752.12 |
- Max profitMore info about Max profit+96,222%$963,219.51
- Max drawdownMore info about Max drawdown-77.98%$220.24
- Return since IPOMore info about Return since IPO+20,175%$202,752.12
Each row shows the start and end dates and prices for the scenario, the period return, and the resulting outcome for a $1,000 investment in Fiserv (FISV). Max profit is the best buy-and-sell pair across the entire price history; max drawdown is the worst peak-to-trough decline; the last row tracks return from IPO to today. Prices are split- and dividend-adjusted closing prices — actual outcomes would differ due to fees, taxes, and slippage.
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