Sector: Consumer Cyclical

Showing 1101–1200 of 6762 stocks (page 12 of 68).

Stock Market Cap Dividend Yield P/E Ratio Dividend Frequency Years Paying DGR
MASA.JK Multistrada Arah Sarana Tbk 2.8 billion 0.00% - - - -
603009.SS Shanghai Beite Technology Co., Ltd. 2.8 billion 0.16% 173.39 1 5 25%
035250.KS Kangwon Land, Inc. 2.8 billion 6.24% - 1 2 -
MBUMY Mabuchi Motor Co., Ltd. 2.8 billion 3.04% 15.05 - - -
0R2I.L Under Armour, Inc. 2.8 billion 0.00% 14.13 - - -
STAEY Stanley Electric Co., Ltd. 2.8 billion 2.93% 16 - - -
VC Visteon Corporation 2.8 billion 1.26% 20.60 4 2 -
002563.SZ ZHEJIANG SEMIR GAR 2.8 billion 0.05% 17.56 1 13 30%
5947.T Rinnai Corporation 2.7 billion 1.99% 21.37 2 23 24%
SHAK Shake Shack Inc. 2.7 billion 0.00% 75.21 - - -
6923.T Stanley Electric Co., Ltd. 2.7 billion 3.38% 14.79 2 26 12%
ATHERENERG.NS Ather Energy Ltd. 2.7 billion 0.00% -29.60 - - -
PATK Patrick Industries, Inc. Challengers 2.7 billion 2.28% 20.49 4 8 29%
600612.SS Lao Feng Xiang Co., Ltd. 2.7 billion 4.84% 13.75 1 15 -8%
600258.SS BTG Hotels (Group) Co., Ltd. 2.7 billion 2.21% 21.73 1 3 -
YUEIY Yue Yuen Industrial (Holdings) Limited 2.7 billion 9.83% 10.11 2 5 30%
SAH Sonic Automotive, Inc. Contenders 2.7 billion 1.91% 13.82 4 17 24%
SIX Six Flags Entertainment Corpora 2.7 billion 0.00% 100 - - -
600916.SS China National Gold Group Gold Jewellery Co.,Ltd. 2.7 billion 3.26% 43 2 6 18%
DSEY Diversey Holdings, Ltd. 2.7 billion - - - - -
CAR.WA Inter Cars S.A. 2.7 billion 0.19% 13.61 1 6 17%
3677.HK Jiangsu Zenergy Battery Technologies Group Co., Ltd. 2.7 billion 0.00% 41.65 - - -
AAP Advance Auto Parts, Inc. 2.7 billion 2.26% 24.38 4 21 0%
BSFFF Basic-Fit N.V. 2.7 billion 0.00% 137.94 - - -
ELRXF AB Electrolux (publ) 2.7 billion 8.99% - - - 30%
METROBRAND.NS Metro Brands Limited 2.7 billion 0.64% 71.43 2 5 30%
600933.SS IKD Co., Ltd. 2.7 billion 1.72% 16.15 1 9 -
6417.T Sankyo Co., Ltd. 2.7 billion 4.26% 8.18 2 26 11%
NIFCY Nifco Inc. 2.6 billion 1.67% 15.80 1 21 -6%
MNTHF MINTH GRP 2.6 billion - 7.14 - - -
7762.T Citizen Watch Co., Ltd. 2.6 billion 2.78% 17.60 2 27 30%
JUMSF Jumbo S.A. 2.6 billion 2.80% 16.04 4 8 24%
TDBOF Toyota Boshoku Corporation 2.6 billion 3.89% 12.73 2 17 30%
000069.SZ Shenzhen Overseas Chinese Town Co.,Ltd. 2.6 billion 0.00% - - - -
JFROF J. Front Retailing Co., Ltd. 2.6 billion 2.37% 22.42 2 10 0%
NKRKY Nokian Renkaat Oyj 2.6 billion 1.56% - 1 15 -2%
AEO American Eagle Outfitters, Inc. 2.6 billion 3.33% 7.95 4 23 18%
BFIT.AS Basic-Fit N.V. 2.6 billion 0.00% 140.55 - - -
LREN3.SA Lojas Renner S.A. 2.6 billion 4.54% 9.27 4 22 30%
VSTO Vista Outdoor Inc. 2.6 billion 0.00% - - - -
600114.SS NBTM New Materials Group Co., Ltd. 2.6 billion 1.09% 31.80 2 22 30%
WLWHY Woolworths Holdings Limited 2.6 billion 4.00% 22.75 2 20 12%
HMPRO.BK Home Product Center Public Company Limited 2.6 billion 6.21% 14.35 2 24 4%
TOMYY TOMY Company, Ltd. 2.6 billion 1.07% 15.95 2 1 -
MTOR Meritor, Inc. 2.6 billion 0.00% 11.28 - - -
CCC.WA CCC S.a. 2.5 billion 0.00% 11.87 - - -
002759.SZ Tonze New Energy Technology Co.,Ltd. 2.5 billion 0.29% -13.85 - - -
RH Rh 2.5 billion 0.00% 23.70 - - -
CLAS-B.ST Clas Ohlson AB (publ) 2.5 billion 1.81% 24.76 2 21 30%
PHIN PHINIA Inc. 2.5 billion 1.69% 21.92 4 4 -
002508.SZ Hangzhou Robam Appliances Co., Ltd. 2.5 billion 5.43% 13.90 1 16 25%
WHR Whirlpool Corporation 2.5 billion 11.43% 14.24 4 44 11%
MNHFF MAYR-MELNHOF KARTON AG 2.5 billion 0.01% - - - -
BGSI Boyd Group Services Inc. 2.5 billion 0.49% 213.77 4 2 -
BYD.TO Boyd Group Services Inc. canada 2.5 billion 0.34% 202.90 4 20 6%
000581.SZ WEIFU HIGH-TECH 2.5 billion 0.06% 9.60 - 24 30%
BCCMY BAIC Motor Corporation Limited 2.5 billion 7.90% 3.45 1 6 -
MRPLY Mr Price Group Limited 2.5 billion 5.71% 12.43 2 16 30%
LCII LCI Industries Contenders 2.5 billion 4.48% 12.62 4 11 11%
688567.SS Farasis Energy (Gan Zhou) Co., Ltd. 2.5 billion 0.00% -40.09 - - -
OPM.PA OPmobility 2.5 billion 2.38% 13.65 1 26 -
SHALY Shangri-La Asia Limited 2.5 billion 2.52% 17.33 - - -
BVILF BREVILLE GROUP LIMITED 2.5 billion 0.02% - - - -
FRVIA.PA Forvia SE 2.5 billion 4.56% -4.71 - - -
VRLA.PA Verallia S.A. 2.4 billion 9.34% 23.65 1 7 1%
HOME At Home Group Inc. 2.4 billion 2.00% 9.15 - - -
VTSC.VI VITESCO TECHNOLOGIES GROUP AG 2.4 billion 0.47% 85.73 - - -
OZON Ozon Holdings PLC 2.4 billion - - - - -
603950.SS Xiangyang Changyuandonggu Industry Co., Ltd. 2.4 billion 0.44% 45.10 1 2 -
SUL.AX Super Retail Group Limited 2.4 billion 4.26% 17.62 2 22 14%
VTSC.DE VITESCO TECHS GRP NA O.N. 2.4 billion 0.49% 85.32 - - -
HSAI Hesai Group 2.4 billion 0.00% 37.81 - - -
CEC.DE Ceconomy AG 2.4 billion 0.00% 436 - - -
FIGS FIGS, Inc. 2.4 billion 0.00% 43.24 - - -
002031.SZ Greatoo Intelligent Equipment Inc. 2.4 billion 0.00% -51.71 - - -
TYRES.HE Nokian Renkaat Oyj 2.4 billion 1.63% 107.50 1 27 7%
BVHBB Bluegreen Vacations Holding Corporation 2.4 billion 2.35% 19.25 4 2 -
WEBR Weber Inc. 2.4 billion 0.97% 182.16 - 2 -
7489.HK VOYAH Automotive Technology Co., Ltd. 2.4 billion 0.00% 15.66 - - -
THULE.ST Thule Group AB (publ) 2.3 billion 3.92% 20 2 12 -3%
HMPRO-R.BK Home Product Center Public Company Limited 2.3 billion 6.23% 13.75 2 19 4%
023530.KS Lotte Shopping Co., Ltd. 2.3 billion 3.65% - 2 2 -
200581.SZ WEIFU HIGH-TECH 2.3 billion 0.08% 6.42 - 24 30%
002003.SZ ZHEJIANG WEIXING I 2.3 billion 0.04% 25.26 - 20 28%
9831.T Yamada Holdings Co., Ltd. 2.3 billion 2.34% 14.32 1 26 2%
002572.SZ SUOFEIYA HOME COL 2.3 billion 5.30% 12.63 - 14 17%
1114.HK BRILLIANCE CHI 2.3 billion 0.00% 3.14 2 2 -
3397.T TORIDOLL Holdings Corporation 2.3 billion 0.24% 79.05 1 21 12%
MCW Mister Car Wash, Inc. 2.3 billion 0.00% 21.36 - - -
005850.KS SL Corporation 2.3 billion 4.06% - 1 1 -
SCGP-R.BK SCG Packaging Public Company Limited 2.3 billion 3.06% 18.95 2 6 -5%
3918.HK NagaCorp Ltd. 2.3 billion 1.95% 8.91 2 2 -
ASMDEE-B.ST Asmodee Group AB (publ) 2.3 billion 0.00% 54.28 1 1 -
1477.TW Makalot Industrial Co., Ltd. 2.3 billion 0.00% 19.83 2 24 30%
MAWHF Man Wah Holdings Limited 2.3 billion 4.88% 9.85 3 14 4%
SKXJF Sankyo Co., Ltd. 2.3 billion 5.24% 6.41 2 10 16%
0J2X.L Hanesbrands Inc. 2.3 billion 0.00% 5.01 - - -
FL Foot Locker, Inc. 2.3 billion 0.00% - 4 - -
HBI Hanesbrands Inc. 2.3 billion 0.00% 5.53 - - -
BMCLF BAIC MOTOR CORPORATION LIMITED 2.3 billion 0.45% 5.70 - 7 -15%