Sector: Consumer Cyclical

Showing 1201–1300 of 6707 stocks (page 13 of 68).

Stock Market Cap Dividend Yield P/E Ratio Dividend Frequency Years Paying DGR
BMCLF BAIC MOTOR CORPORATION LIMITED 2.3 billion 0.45% 5.70 - 7 -15%
MLHR Herman Miller, Inc. 2.3 billion 1.91% 61.73 - - -
SGLOF FOOD & LIFE COMPANIES LTD 2.3 billion - 29.71 - - -
ASAHIINDIA.BO Asahi India Glass Limited 2.3 billion 0.23% 70.56 1 10 20%
KSS Kohl's Corporation 2.3 billion 2.50% 6.66 4 16 12%
TKSHF Takashimaya Company, Limited 2.3 billion 97.22% 15.32 2 18 30%
1477.TW Makalot Industrial Co., Ltd. 2.3 billion 0.00% 19.83 1 24 30%
1999.HK Man Wah Holdings Limited 2.3 billion 5.90% 8.64 2 17 4%
002906.SZ FORYOU CORPORATION 2.3 billion 0.01% 24.02 - 5 22%
603997.SS Ningbo Jifeng Auto Parts Co., Ltd. 2.3 billion 0.00% 33.31 1 1 -
UAA Under Armour, Inc. 2.3 billion 0.00% - - - -
BOBS Bob's Discount Furniture, Inc. 2.3 billion 0.00% 18.80 - - -
002126.SZ ZHEJIANG YINLUN MA 2.3 billion 0.01% 19.73 - 17 -
ASAHIINDIA.NS Asahi India Glass Limited 2.3 billion 0.24% 69.31 1 10 20%
SCGP.BK SCG Packaging Public Company Limited 2.3 billion 1.44% 18.32 2 6 -2%
GOEVW Canoo Inc. 2.3 billion 0.00% - - - -
UA Under Armour, Inc. 2.3 billion 0.00% - - - -
001323.SZ DE RUCCI HEALTHY S 2.2 billion 0.00% 18.96 - 3 -
MBPFF Mitchells & Butlers plc 2.2 billion 1.89% 8.74 - - -
GMPUF Gestamp Automoción, S.A. 2.2 billion 4.16% 6.84 2 3 -
GMAT3.SA Grupo Mateus S.A. 2.2 billion 4.84% 5.90 2 2 -
603515.SS Opple Lighting Co.,LTD 2.2 billion 0.00% 16.21 1 10 16%
MCRI Monarch Casino & Resort, Inc. 2.2 billion 0.96% 19.19 4 4 -
LIND Lindblad Expeditions Holdings, Inc. 2.2 billion 0.00% - - - -
005850.KS SL Corporation 2.2 billion 4.06% - 1 1 -
5Y7A.F SCG Packaging Public Company Limited 2.2 billion 4.46% 14.93 2 6 -5%
603305.SS Ningbo Xusheng Auto Technology Co., Ltd. 2.2 billion 2.43% 38.07 1 6 30%
605255.SS Ningbo TIP Rubber Technology Co., Ltd 2.2 billion 0.20% 464.17 2 6 6%
GTR.F The Goodyear Tire & Rubber Company 2.2 billion 0.00% -1.30 - - -
7988.T Nifco Inc. 2.2 billion 1.70% 14.31 - - -
PLBL Polibeli Group Ltd 2.2 billion 0.00% -298.33 - - -
SSPPF SSP Group plc 2.2 billion - 277 - 1 -
DRVN Driven Brands Holdings Inc. 2.2 billion 0.00% 13.46 - - -
0590.HK Luk Fook Holdings (International) Limited 2.2 billion 3.74% 13.48 2 19 2%
TGOSY Toyoda Gosei Co., Ltd. 2.2 billion 3.34% 12.56 - - -
5Y7.F SCG Packaging Public Company Limited 2.2 billion 4.55% 14.67 2 6 -5%
MLCO Melco Resorts & Entertainment Limited 2.2 billion 0.00% 9.49 - - -
NFYEF NFI Group Inc. 2.2 billion 0.00% 40.56 - - -
002867.SZ CHOW TAI SENG JEWE 2.2 billion 0.07% 13.61 - 8 30%
0069.HK Shangri-La Asia Limited 2.2 billion 3.14% 17.70 2 3 -
EIHOTEL.BO EIH Limited 2.2 billion 0.46% 30.99 1 4 -
EIHOTEL.NS EIH Limited 2.2 billion 0.46% 32.04 1 4 -
MODG Topgolf Callaway Brands Corp. 2.2 billion 0.00% -1.43 - - -
0880.HK SJM Holdings Limited 2.1 billion 0.00% 4700 - - -
000980.SZ Zotye Automobile Co., Ltd 2.1 billion 0.00% -16.71 - - -
AXL American Axle & Manufacturing Holdings, Inc. 2.1 billion 0.00% 24.32 - - -
7581.T Saizeriya Co.,Ltd. 2.1 billion 0.44% 30.41 1 26 15%
MDIY.JK Daya Intiguna Yasa Tbk. 2.1 billion 0.00% 54.64 - - -
002024.SZ Suning.com Co., Ltd. 2.1 billion 0.00% 152 - - -
NGCRY NagaCorp Ltd. 2.1 billion 4.45% 9.55 2 2 -
MAORF Mandarin Oriental International Limited 2.1 billion 0.91% - 1 1 -
WIPKF Winpak Ltd. 2.1 billion 0.30% 13.08 4 23 30%
600859.SS Wangfujing Group Co., Ltd. 2.1 billion 0.00% - - 21 2%
002701.SZ ORG TECHNOLOGY CO 2.1 billion 0.03% 16.64 - 7 -8%
BVILY Breville Group Limited 2.1 billion 1.06% 28.30 2 11 -4%
002249.SZ ZHONGSHAN BROAD OC 2.1 billion 3.61% 16.78 - 4 -
8114.T DESCENTE LTD 2.1 billion 1.11% 26.04 1 4 -
600827.SS Shanghai Bailian (Group) Co., Ltd. 2.1 billion 3.06% 61.79 1 10 -
004170.KS SHINSEGAE Inc. 2.1 billion 1.36% - 2 2 -
MEL.MC Meliá Hotels International, S.A. 2.0 billion 1.74% 10.19 1 3 -
SASA.IS Sasa Polyester Sanayi A.S. 2.0 billion 0.00% 10.57 - - -
MNOIY Mandarin Oriental International Limited 2.0 billion 1.81% -28.76 1 1 -
RDWWF Redrow plc 2.0 billion 6.02% 5.49 2 3 -
BRSL Brightstar Lottery PLC 2.0 billion 7.95% 11.63 4 2 -
7419.T Nojima Corporation 2.0 billion 1.41% 9.20 2 27 5%
VKTR.JK PT VKTR Teknologi Mobilitas Tbk 2.0 billion 0.00% 5156.25 - - -
600006.SS DongFeng Automobile Co. Ltd. 2.0 billion 0.07% 56.50 - 26 -29%
AWC.BK Asset World Corp Public Company Limited 2.0 billion 3.61% 10.40 1 5 30%
AWC-R.BK Asset World Corp Public Company Limited 2.0 billion 3.61% 10.95 1 5 30%
PRKS United Parks & Resorts Inc. 2.0 billion 0.00% 17.97 - - -
GEBHY Genting Berhad 2.0 billion 2.47% 85.13 1 24 8%
1440.HK Star Shine Holdings Group Limited 2.0 billion 0.00% -408.33 - - -
600480.SS Ling Yun Industrial Corporation Limited 2.0 billion 3.05% 17.50 2 6 -
PMDKY PT. Mitra Adiperkasa Tbk 2.0 billion 0.45% 15.03 1 1 -
600529.SS Shandong Pharmaceutical Glass Co., Ltd 2.0 billion 3.03% 17.24 2 18 30%
MDV.WA Modivo S.A. 1.9 billion 0.00% 8.81 - - -
MMK.VI Mayr-Melnhof Karton AG 1.9 billion 2.43% 7.62 1 27 -5%
601801.SS Anhui Xinhua Media Co., Ltd. 1.9 billion 3.00% 15.16 2 17 11%
ALSEA.MX Alsea, S.A.B. de C.V. 1.9 billion 0.00% 16.38 2 3 -
001233.SZ Haiʾan Group Co., Ltd. 1.9 billion 2.85% 15.30 1 1 -
MYM.F Mayr-Melnhof Karton AG 1.9 billion 2.47% 7.57 1 7 -5%
POM.PA PLASTIC OMNIUM 1.9 billion 0.03% 9.46 1 26 -
2258.TW Foxtron Vehicle Technologies Co., Ltd. 1.9 billion 0.00% -20.06 - - -
000240.KS Hankook & Company Co., Ltd. 1.9 billion 3.80% - 2 27 22%
ALSSF Alsea, S.A.B. de C.V. 1.9 billion 3.61% 15.27 - 3 -
SURRY Sun Art Retail Group Limited 1.9 billion 3.11% 193 1 10 -
603040.SS Hangzhou XZB Tech Co.,Ltd 1.9 billion 1.33% 49.01 3 10 30%
NGCRF NagaCorp Ltd. 1.9 billion 4.88% 7.43 2 2 -
3387.T Create Restaurants Holdings Inc. 1.9 billion 0.63% 53.18 2 6 21%
018880.KS Hanon Systems 1.9 billion 6.87% - - - -
83S2.F SSP Group plc 1.9 billion 2.02% 40.50 2 3 -
5904.TWO POYA International Co., Ltd. 1.9 billion 0.00% 19.57 1 19 -7%
009970.KS Youngone Holdings Co., Ltd. 1.9 billion 2.32% - 2 27 30%
OSTBP Overstock.com, Inc. 1.9 billion - 25.80 - - -
DMPZF DOMINO'S PIZZA GROUP PLC 1.9 billion 0.02% - - - -
CIEINDIA.BO CIE Automotive India Limited 1.9 billion 1.48% 21.89 1 5 -
002190.SZ Sichuan Chengfei Integration Technology Corp.Ltd 1.9 billion 0.03% -153.39 - - -
0MDT.IL AB Electrolux (publ) 1.9 billion 0.00% -5.08 - - -
3048.T Bic Camera Inc. 1.9 billion 2.47% 17.04 2 21 30%
SUNDRMFAST.BO Sundram Fasteners Limited 1.9 billion 0.89% 32.12 2 27 30%