SLB N.V. (SLB) is trading at $52.42, which is -39.4% below its all-time high of $86.57. The Drawdown Severity Score is 7.3, placing it in the red (severe) zone. Over its tracked history, SLB has experienced 121 significant drawdown events with an average maximum drawdown of -6.2%.

Data last updated: April 16, 2026 at 08:42 AM EDT

SLB

Stock

SLB N.V.

Price

$52.42

as of Apr 15, 2026

All Time High: $86.57

🔴

Very Strong

Current Drawdown

-39.4%

Days in Drawdown

4255

Avg Max Drawdown

6.2%

Avg Length

84

Drawdown Severity Score™

7.3

SLB - Price & High Water Mark

SLB - Drawdown Timeline

How to read this chart: Negative values indicate drawdowns from all-time highs. Values closer to 0% mean the stock is near its high water mark.

SLB N.V. (SLB) Analysis: Current Drawdown Insights

SLB N.V. is currently experiencing an unusual drawdown opportunity. As of 2026-04-15, the stock is trading at $52.42, which represents a 39.4% decline from its all-time high of $86.57. This drawdown has persisted for 4255 days.

Based on comprehensive historical analysis spanning 14 years, SLB N.V. typically experiences drawdowns averaging 6.2% in depth, with an average duration of 84 days. SLB N.V. has gone through 121 total drawdown events in the last 14 years. The largest drawdown for SLB N.V. in the last 14 years was 68.0%. The longest drawdown duration in its history was 2417 days.

The Drawdown Severity Score™ for SLB N.V. currently stands at 7.26. This is our proprietary indicator that shows the relative severity of the current drawdown based on the asset's unique historical patterns. A score between 5.0 and 8.0 indicates a rare, significant drawdown—the asset seldom sees declines at this level. This may represent a buying opportunity for value-focused investors with strong conviction.

Understanding Drawdowns: A drawdown measures how far a stock has fallen from its peak price. Every stock experiences drawdowns—periods when the price declines from all-time highs before recovering. By analyzing SLB N.V.'s historical drawdown patterns, investors can identify when the stock is experiencing a typical market fluctuation versus an unusual decline that may represent a buying opportunity.

📜 Historical Drawdown Events

Current drawdown shown in blue. Complete record of all 121 historical pullbacks below.

Start DateEnd DateDurationMax DepthStart PriceLowest PriceRecovery Price
2014-08-21Ongoing4255 days-39.4%$86.57$52.42
2014-06-242014-06-252 days-1.8%$79.93$78.52$83.56
2014-06-162014-06-205 days-2.0%$79.45$77.87$79.87
2014-06-102014-06-134 days-0.4%$78.33$78.04$79.45
2014-06-032014-06-053 days-0.2%$76.26$76.12$76.26
2007-10-172014-05-292417 days-68.0%$74.93$23.95$75.93
2007-09-212007-10-1020 days-4.0%$71.71$68.86$72.37
2007-09-142007-09-185 days-0.9%$67.22$66.60$70.05
2007-09-122007-09-132 days-0.4%$66.97$66.73$67.22
2007-09-052007-09-117 days-2.7%$66.94$65.16$66.97
2007-07-262007-09-0441 days-11.4%$64.67$57.28$66.94
2007-07-232007-07-253 days-1.9%$64.51$63.26$64.67
2007-07-172007-07-182 days-0.7%$60.41$59.97$60.86
2007-06-252007-07-1319 days-4.8%$59.52$56.68$59.81
2007-06-202007-06-223 days-1.2%$57.23$56.56$59.52
2007-05-242007-06-1321 days-3.4%$53.66$51.84$54.69
2007-05-222007-05-232 days-1.3%$53.36$52.67$53.66
2007-04-172007-05-1731 days-6.0%$51.64$48.55$52.40
2007-04-112007-04-122 days-0.2%$48.69$48.60$50.14
2006-05-032007-04-10343 days-25.6%$48.43$36.05$48.69
2006-04-262006-04-283 days-1.5%$45.38$44.72$45.64
2006-04-062006-04-1914 days-7.2%$43.90$40.74$44.72
2006-01-312006-04-0463 days-13.8%$43.03$37.10$43.11
2006-01-242006-01-274 days-4.2%$41.50$39.76$41.95
2006-01-092006-01-179 days-1.9%$35.40$34.72$35.74
2006-01-052006-01-062 days-0.5%$34.50$34.32$35.40
2005-12-152006-01-0320 days-5.8%$33.89$31.92$34.04
2005-12-092005-12-146 days-0.8%$33.15$32.88$33.89
2005-12-052005-12-084 days-1.4%$32.54$32.09$33.15
2005-11-232005-12-019 days-3.9%$32.09$30.83$32.19
2005-11-182005-11-214 days-0.1%$31.27$31.24$31.62
2005-11-042005-11-1613 days-3.9%$31.11$29.91$31.18
2005-10-272005-10-282 days-1.1%$28.64$28.33$29.38
2005-08-122005-10-2676 days-9.8%$28.60$25.79$28.64
2005-08-042005-08-107 days-1.1%$28.44$28.13$28.53
2005-07-272005-08-027 days-1.6%$27.91$27.46$28.43
2000-08-292005-07-221789 days-59.8%$26.92$10.81$26.98
2000-08-242000-08-285 days-1.8%$26.75$26.27$26.92
2000-08-182000-08-236 days-1.5%$26.52$26.12$26.75
2000-05-162000-08-1693 days-17.0%$25.42$21.10$26.43
2000-03-082000-05-1568 days-16.9%$25.11$20.87$25.42
2000-03-032000-03-075 days-5.2%$24.94$23.64$25.11
1997-11-062000-03-02848 days-55.7%$24.74$10.96$24.94
1997-10-221997-11-0414 days-13.6%$24.23$20.95$24.36
1997-10-131997-10-208 days-6.1%$23.42$22.00$23.51
1997-10-081997-10-092 days-1.2%$23.03$22.75$23.42
1997-10-061997-10-072 days-0.2%$22.90$22.85$23.03
1997-09-231997-09-308 days-3.9%$22.06$21.21$22.11
1997-09-111997-09-122 days-1.3%$20.55$20.29$21.14
1997-08-291997-09-1013 days-2.6%$20.50$19.96$20.55
1997-08-071997-08-2822 days-10.1%$20.36$18.29$20.50

How to read: Each row shows a complete drawdown from peak to recovery. Red rows = most severe drawdowns (worst 20% or 5x+ average), yellow rows = moderate (2x-5x worse than average).

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What History Says About SLB

SLB N.V. has dropped 10%+ from its high 10 times in its tracked history. These events lasted an average of 570 days with an average max drop of -29.2%.

The current drawdown of -39.4% has lasted 4,255 days, which is 7.5x the average duration of comparable events.

PeriodMax DropDuration
Oct 2007 to May 2014-68.0%2417 days
Aug 2000 to Jul 2005-59.8%1789 days
Nov 1997 to Mar 2000-55.7%848 days
May 2006 to Apr 2007-25.6%343 days
May 2000 to Aug 2000-17.0%93 days
Mar 2000 to May 2000-16.9%68 days

Learn More About Drawdowns