Boston Properties, Inc. (BXP) Stock Investment Calculator & Historical Return Analysis

Boston Properties, Inc. is the largest publicly traded developer, owner, and manager of Class A office properties in the United States. The company's diverse portfolio includes office buildings, life sciences properties, retail spaces, residential units, and hotels, concentrated in major gateway markets. Investors often view Boston Properties, Inc. as a key player in the market, analyzing its long-term potential through various revenue models, brand recognition, and consistent presence in its industry.

This Boston Properties, Inc. stock investment calculator allows you to explore how a hypothetical investment in BXP might have performed over time. By adjusting the investment amount and time period, you can visualize potential growth, compare outcomes across different market cycles, and better understand the impact of long-term investing.

What if you invested $1000 in BXP on Jan 1, 2020?

Explore hypothetical investment results for stocks, ETFs, and more. See real historical data and share your discoveries.

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Current Value
$XX,XXX
Return
+XXX%
CAGR
X.XX%
vs SPY
+XX%

Understanding Boston Properties, Inc.'s Historical Performance

Boston Properties, Inc.'s stock performance has historically reflected both broader market trends and company-specific milestones. Like many growth-oriented stocks, BXP has experienced periods of growth driven by innovation and market demand.

When analyzing Boston Properties, Inc.'s historical returns, it's important to consider:

  • Market cycles: Strong bull markets often amplify returns, while recessions can temporarily suppress performance.
  • Business model evolution: Changes in revenue strategies and product lines can significantly impact stability.
  • Long-term trends: Over extended periods, compounding can play a larger role than short-term price fluctuations.

This calculator helps you see how these factors might have affected an investment depending on when you entered the market.

Historical Annual Returns

Over the past 30 years, Boston Properties, Inc. has delivered an annualized return (CAGR) of +7.7%. Its strongest year was 2006 at +60.4%, and its weakest was 2022 at -41.0%. Overall, the stock finished in the green 20 times out of 30 years.

Annualized

+7.7%

Win Rate

67%

20W - 10L

Best

+60.4%

2006

Worst

-41.0%

2022

Performance Consistency

20 Positive10 Negative

Boston Properties, Inc. Annual Returns by Year

YearAnnual ReturnStart PriceEnd Price
1997+26.76%$7.11$9.02
1998-3.04%$9.05$8.78
1999+8.56%$8.72$9.47
2000+49.46%$9.34$13.95
2001-6.96%$13.89$12.93
2002+2.62%$13.01$13.35
2003+38.77%$13.33$18.50
2004+40.45%$18.52$26.01
2005+25.58%$25.60$32.15
2006+60.38%$32.69$52.43
2007-10.64%$52.52$46.93
2008-38.63%$47.42$29.10
2009+27.09%$29.17$37.08
2010+31.54%$37.09$48.79
2011+14.06%$50.54$57.64
2012+6.73%$58.64$62.58
2013-1.34%$63.08$62.23
2014+35.55%$62.25$84.38
2015+0.15%$86.06$86.19
2016+3.44%$83.94$86.82
2017+4.74%$87.79$91.95
2018-10.34%$91.42$81.96
2019+30.01%$79.49$103.35
2020-27.12%$101.64$74.07
2021+31.37%$71.16$93.49
2022-41.00%$97.35$57.43
2023+12.58%$56.62$63.74
2024+9.28%$65.49$71.57
2025-4.86%$70.93$67.48
2026-0.49%$67.82$67.49

Historical annual returns for Boston Properties, Inc.. Each year shows the change from that year's first trading day to its last, using split- and dividend-adjusted closing prices. The current year is partial (year-to-date).

Why Use a "What If" Stock Calculator?

Many investors wonder questions such as:

A what-if investment calculator answers these questions by turning historical data into practical insights. Rather than focusing on daily price movements, it encourages a long-term perspective, which is especially useful for retirement planning, portfolio comparisons, and financial education.

Key Innovations

  • ✓Integrated sustainability into its property development and management practices, aiming for Net Zero emissions.
  • ✓Integration of advanced data analytics and automation into core operational workflows.
  • ✓Proprietary technology architecture developed by Boston Properties, Inc. to optimize operational performance.
  • ✓Strategic R&D investment driving next-generation solution design and market differentiation.
  • ✓Expansion of digital transformation initiatives across product engineering and customer delivery.
  • ✓Pioneered the development and management of premier Class A office properties in leading U.S. markets.

Business Segments

  • Boston
    Owns, develops, and manages properties in the Boston metropolitan area.
  • New York
    Owns, develops, and manages properties in the New York City metropolitan area.
  • San Francisco
    Owns, develops, and manages properties in the San Francisco Bay Area.

How to Interpret the Results

The results shown are based on historical performance and are meant for educational and informational purposes only. They do not account for future market conditions, taxes, transaction fees, or individual investment strategies. Past performance does not guarantee future results, but historical analysis can show how an investment behaved across different market cycles.

For best use:

  • Compare multiple time ranges to see how outcomes differ
  • Use consistent assumptions across different stocks
  • Combine this tool with fundamental research and diversification principles

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