Motorola 2012 Annual Report Download - page 30

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22
PERFORMANCE GRAPH
The following graph compares the five-year cumulative total returns of Motorola Solutions, Inc., the S&P 500 Index and
the S&P Communications Equipment Index.
This graph assumes $100 was invested in the stock or the Index on December 31, 2007 and reflects the payment of
dividends, including the Company's distribution to its shareholders of one share of Motorola Mobility for every eight shares of
its common stock on January 4, 2011. For purposes of this graph, the Motorola Mobility distribution is treated as a dividend of
$26.46 (per share post the 1-for-7 reverse stock split ) paid at the close of business January 4, 2011.