Sector: Consumer Cyclical

Showing 1001–1100 of 6762 stocks (page 11 of 68).

Stock Market Cap Dividend Yield P/E Ratio Dividend Frequency Years Paying DGR
1476.TW Eclat Textile Co., Ltd. 3.3 billion 0.00% 18.97 1 26 -
JBHIF JB Hi-Fi Limited 3.3 billion 6.77% 9.84 2 2 -
BYDGF Boyd Group Services Inc. 3.3 billion 0.28% 396.29 4 19 5%
0179.HK Johnson Electric Holdings Limited 3.3 billion 2.20% 12.41 2 17 26%
PTVE Pactiv Evergreen Inc. 3.3 billion 2.22% - 4 4 -
BRG.AX Breville Group Limited 3.3 billion 1.19% 31.71 2 19 4%
CARG CarGurus, Inc. 3.3 billion 0.00% 19.46 - - -
7951.T Yamaha Corporation 3.3 billion 2.27% 29.83 2 27 -14%
BRE.MI Brembo S.p.A. 3.2 billion 3.35% 12.62 1 6 4%
7211.T Mitsubishi Motors Corporation 3.2 billion 2.63% 149.96 2 4 -
603786.SS KEBODA TECHNOLOGY Co., Ltd. 3.2 billion 1.18% 27.62 1 7 11%
7240.T NOK Corporation 3.2 billion 3.86% 16.90 1 26 25%
6674.T GS Yuasa Corporation 3.2 billion 1.78% 16.13 2 20 14%
FURCF FORVIA 3.2 billion 0.00% -73.13 - 1 -
SEAS SeaWorld Entertainment, Inc. 3.2 billion 0.00% 12.85 - - -
JTEKF JTEKT Corporation 3.2 billion 3.10% 11.06 3 21 30%
SHOO Steven Madden, Ltd. 3.2 billion 1.92% 24.41 4 9 14%
601966.SS Shandong Linglong Tyre Co.,Ltd. 3.2 billion 2.87% 17.64 3 10 30%
PTRN Pattern Group Inc. Series A Common Stock 3.2 billion 0.00% - - - -
HUH1V.HE Huhtamäki Oyj 3.2 billion 4.25% 14.49 2 27 -2%
MIK The Michaels Companies, Inc. 3.1 billion - 11.07 - - -
BELI.JK PT Global Digital Niaga Tbk 3.1 billion 0.00% -21.81 - - -
KAR OPENLANE, Inc. 3.1 billion 0.00% 33.79 - - -
JTEKY JTEKT Corporation 3.1 billion 2.42% 9.82 1 13 -20%
HNORY Harvey Norman Holdings Limited 3.1 billion 6.59% 8.62 2 9 5%
VIS.MC Viscofan, S.A. 3.1 billion 3.98% 17.13 2 27 18%
ASO Academy Sports and Outdoors, Inc. Challengers 3.1 billion 1.07% 9.09 4 5 30%
VLEEF VALEO 3.1 billion 0.03% - - - -
600151.SS Shanghai Aerospace Automobile Electromechanical Co., Ltd. 3.1 billion 0.00% -76.37 - - -
TOASO.IS Tofas Türk Otomobil Fabrikasi Anonim Sirketi 3.1 billion 3.96% 125.21 1 22 -
YETI YETI Holdings, Inc. 3.1 billion 0.00% 19.33 - - -
MMTOF Mitsubishi Motors Corporation 3.1 billion 2.82% 50 2 4 -
BLWYY Bellway p.l.c. 3.1 billion 6.86% 10.90 1 10 30%
GPK Graphic Packaging Holding Company 3.1 billion 4.22% 18.61 4 12 10%
LRENY Lojas Renner S.A. 3.1 billion 4.35% 15.82 4 8 24%
2105.TW Cheng Shin Rubber Ind. Co., Ltd. 3.1 billion 5.99% 19.14 1 27 27%
DMZPY Domino's Pizza Enterprises Limited 3.1 billion 2.27% 63.16 2 7 10%
4200.SR Aldrees Petroleum and Transport Services Company 3.1 billion 1.74% 27.25 1 19 -
GRBK Green Brick Partners, Inc. 3.1 billion 0.00% 10.83 - - -
603730.SS Shanghai Daimay Automotive Interior Co., Ltd 3.1 billion 2.82% 32.90 1 9 -4%
CTB Cooper Tire & Rubber Company 3.0 billion 0.70% 17.28 - - -
111770.KS Youngone Corporation 3.0 billion 2.18% 6.74 2 18 22%
1910.HK Samsonite International S.A. 3.0 billion 4.96% 10.54 1 3 -
000901.SZ Aerospace Hi-Tech Holding Group Co., Ltd. 3.0 billion 0.00% 195.08 1 1 -
SABRP Sabre Corporation 3.0 billion 9.03% - 3 4 -
MMB.PA Lagardere S.A. 3.0 billion 3.59% 12.52 1 5 30%
300144.SZ Songcheng Performance Development Co.,Ltd 3.0 billion 3.23% 25.67 1 16 28%
2589.HK Auntea Jenny (Shanghai) Industrial Co., Ltd. 3.0 billion 1.07% 28.04 3 2 -
8MI.SG Minor International PCL 3.0 billion 3.92% 12.75 2 4 -
STAEF Stanley Electric Co., Ltd. 3.0 billion 2.26% 18.10 3 15 30%
0KEQ.L PVH Corp. 3.0 billion 0.23% 4.72 4 10 -
KPRMILL.NS K.P.R. Mill Limited 3.0 billion 0.59% 34.07 2 20 3%
KPRMILL.BO K.P.R. Mill Limited 3.0 billion 0.60% 33.89 2 20 25%
TVSHLTD.BO TVS Holdings Limited 3.0 billion 0.66% 18.58 1 27 30%
AMBP Ardagh Metal Packaging S.A. 3.0 billion 7.99% 104.20 4 5 30%
ORRYY Orora Limited 3.0 billion 4.95% 15.08 2 8 -14%
TVSHLTD.NS TVS Holdings Limited 3.0 billion 0.66% 18.54 1 19 30%
IMHDF Isetan Mitsukoshi Holdings Ltd. 3.0 billion 102.37% - 3 14 17%
HOG Harley-Davidson, Inc. Challengers 3.0 billion 2.60% 14.03 4 34 4%
WING Wingstop Inc. Contenders 3.0 billion 1.13% 30.83 4 10 17%
FR.PA Valeo SE 3.0 billion 3.91% 13.27 1 16 -6%
4715.KL Genting Malaysia Berhad 3.0 billion 1.70% 28.01 1 27 4%
GRBK-PA Green Brick Partners, Inc. 3.0 billion 6.40% 5.10 4 5 12%
8464.TW Nien Made Enterprise Co., Ltd. 3.0 billion 5.08% 14.30 1 11 4%
COLM Columbia Sportswear Company 3.0 billion 2.08% 15.01 4 21 11%
0KTF.L Rh 2.9 billion 0.00% 5.28 - - -
BOSS.DE Hugo Boss AG 2.9 billion 0.11% 11.50 1 27 28%
FORCEMOT.BO Force Motors Limited 2.9 billion 0.19% 20.53 1 17 30%
NPSKF NSK Ltd. 2.9 billion 3.73% 27.27 2 24 0%
SK.PA SEB S.A. 2.9 billion 5.96% 10.56 1 27 -
MNSO MINISO Group Holding Limited 2.9 billion 6.97% 15.52 2 4 -
APOLLOTYRE.BO Apollo Tyres Limited 2.9 billion 1.93% 30.14 2 27 15%
APOLLOTYRE.NS Apollo Tyres Limited 2.9 billion 1.93% 30.08 2 25 16%
KBH KB Home 2.9 billion 2.08% 13.53 4 41 22%
HAR.F Harley-Davidson, Inc. 2.9 billion 2.63% 13.29 4 18 2%
RINIF Rinnai Corporation 2.9 billion 2.18% 21.23 3 20 30%
ACKAY Arçelik Anonim Sirketi 2.9 billion 2.04% 16.23 2 4 -
U9R.F Under Armour, Inc. 2.9 billion 0.00% -5.70 - - -
000559.SZ WANXIANG QIANCHAO 2.9 billion 0.03% 20.86 - 24 30%
603355.SS Kingclean Electric Co.,Ltd 2.9 billion 4.47% 19.84 - - -
MSUMI.BO Motherson Sumi Wiring India Limited 2.9 billion 1.37% 43.90 1 5 -
MSUMI.NS Motherson Sumi Wiring India Limited 2.9 billion 1.37% 43.90 1 5 -
MAWHY Man Wah Holdings Limited 2.9 billion 4.38% 11.42 2 14 20%
BTDPY Barratt Redrow PLC Unsponsored ADR 2.9 billion 5.52% 20.98 2 11 6%
600655.SS Shanghai Yuyuan Tourist Mart (Group) Co., Ltd. 2.8 billion 3.85% -12.67 - 32 -16%
ZFCVINDIA.BO ZF Commercial Vehicle Control Systems India Limited 2.8 billion 0.13% 54.60 1 17 -
DNLMY Dunelm Group plc 2.8 billion 3.83% 14.61 2 10 30%
ZFCVINDIA.NS ZF Commercial Vehicle Control Systems India Limited 2.8 billion 0.13% 54.31 1 17 -
LGDDF LAGARDERE SA 2.8 billion 0.03% 19.08 - - -
601965.SS China Automotive Engineering Research Institute Co., Ltd. 2.8 billion 1.79% 20.68 2 14 19%
600651.SS Shanghai Feilo Acoustics Co.,Ltd 2.8 billion 0.00% 377 - - -
AMBER.NS Amber Enterprises India Limited 2.8 billion 0.00% 164.60 - - -
KIND-SDB.ST Kindred Group plc 2.8 billion 0.00% 49.09 1 - -
AMBER.BO Amber Enterprises India Limited 2.8 billion 0.00% 164.49 - - -
002416.SZ SHENZHEN AISIDI CO 2.8 billion 0.04% 28.50 - 8 6%
VTSCY VITESCO TECHNOLOGIES GRP AG SPO 2.8 billion 0.02% -149.17 - 1 -
605599.SS Beijing Caishikou Department Store Co.,Ltd. 2.8 billion 2.98% 23.21 1 5 28%
EXIDEIND.BO Exide Industries Limited 2.8 billion 0.64% 32.22 1 26 -
METROBRAND.BO Metro Brands Limited 2.8 billion 0.56% 68.53 2 5 30%
0699.HK CAR Inc. 2.8 billion 1.49% - - - -