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Bitcoin vs Nasdaq 100: 10-Year Performance Scorecard (2016-2025)

Last updated: December 31, 2025

10-YEAR SCORECARD

Bitcoin vs Nasdaq 100: 10-Year Scorecard

2016 - 2025

Gale Finance Team
Written by Gale Finance Team
Sid Kalla
Reviewed by Sid Kalla CFA Charterholder

The Verdict

Total Return
BTC: +20061.5% vs QQQ: +504.1%
Year-by-Year Wins
BTC: 7 vs QQQ: 3
$10,000 Invested in 2016
BTC: $2,016,148.63 vs QQQ: $60,405.86

Year-by-Year Performance

Over 10 years, BTC won 7 individual years while QQQ won 3.

Year Bitcoin Nasdaq 100 Winner
2016 +121.9% +9.4% BTC
2017 +1318.0% +31.5% BTC
2018 -72.6% -1.8% QQQ
2019 +87.2% +38.4% BTC
2020 +302.8% +46.2% BTC
2021 +57.6% +29.2% BTC
2022 -65.3% -33.2% QQQ
2023 +154.0% +55.9% BTC
2024 +119.5% +27.7% BTC
2025 -6.4% +21.0% QQQ
Total Wins 7 wins 3 wins BTC
2016
BTC +121.9%
QQQ +9.4%
BTC
2017
BTC +1318.0%
QQQ +31.5%
BTC
2018
BTC -72.6%
QQQ -1.8%
QQQ
2019
BTC +87.2%
QQQ +38.4%
BTC
2020
BTC +302.8%
QQQ +46.2%
BTC
2021
BTC +57.6%
QQQ +29.2%
BTC
2022
BTC -65.3%
QQQ -33.2%
QQQ
2023
BTC +154.0%
QQQ +55.9%
BTC
2024
BTC +119.5%
QQQ +27.7%
BTC
2025
BTC -6.4%
QQQ +21.0%
QQQ

Cumulative Performance

This chart shows how $100 invested at the start of 2016 would have grown over time.

Price Comparison

BTC QQQ

Normalized to 100 at start date for comparison

Risk-Adjusted Metrics

How did each asset perform relative to the risk taken? Higher Sharpe, Sortino, and Calmar ratios indicate better risk-adjusted returns.

Metric BTC QQQ
Total Return +20061.5% +504.1%
CAGR +70.0% +19.7%
Volatility (Ann.) +67.1% +22.3%
Sharpe Ratio 1.07 0.73
Sortino Ratio 1.43 0.93
Calmar Ratio 0.84 0.56
Max Drawdown -83.4% -35.1%

Sharpe and Sortino ratios calculated using 4.23% average risk-free rate for the period.

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Best and Worst Years

BTC Best Year

2017
+1318.0%

BTC Worst Year

2018
-72.6%

QQQ Best Year

2023
+55.9%

QQQ Worst Year

2022
-33.2%

Maximum Drawdown

Maximum drawdown measures the largest peak-to-trough decline. Lower (less negative) is better.

BTC
-83.4%
Dec 2017 to Dec 2018
Recovered in 716 days
QQQ
-35.1%
Dec 2021 to Nov 2022
Recovered in 405 days

Correlation Analysis

The 10-year average correlation between Bitcoin and Nasdaq 100 was 0.15. This low correlation suggests diversification benefits when holding both assets.

Bitcoin vs. Nasdaq 100 Yearly Average Correlation (10-year)

-0.04
2016
0.02
2017
0.08
2018
-0.10
2019
0.36
2020
0.25
2021
0.55
2022
0.26
2023
0.03
2024
0.07
2025
Average
0.15
Mean correlation over the period
Range
-0.32 to 0.65
Min to max correlation

Frequently Asked Questions

Which performed better over 10 years: Bitcoin or Nasdaq 100?

Bitcoin returned +20061.5% compared to Nasdaq 100's +504.1% from 2016 to 2025. Bitcoin delivered the higher total return. Bitcoin won 7 out of 10 individual years.

What would $10,000 invested in Bitcoin be worth today?

$10,000 invested in Bitcoin at the start of 2016 would be worth $2,016,148.63 by the end of 2025. The same amount in Nasdaq 100 would be worth $60,405.86.

Which asset had better risk-adjusted returns?

Bitcoin had the higher Sharpe ratio (1.07 vs 0.73), indicating better risk-adjusted performance than Nasdaq 100.

Methodology

  • Price data sourced from CoinGecko (BTC) and Tiingo (QQQ)
  • Volatility calculated as annualized standard deviation of daily returns
  • Sharpe and Sortino ratios use the average 3-month Treasury rate as the risk-free rate
  • Calmar ratio = CAGR / Maximum Drawdown
  • Year-by-year returns calculated from first to last trading day of each calendar year

Disclaimer: This scorecard is for informational and educational purposes only and does not constitute investment, financial, legal, or tax advice. Past performance is not indicative of future results. All investments involve risk, including the possible loss of principal. Data sourced from third parties may contain errors or be delayed. Always conduct your own research and consult a qualified financial advisor before making investment decisions.