Sector: Consumer Cyclical

Showing 2501–2600 of 6709 stocks (page 26 of 68).

Stock Market Cap Dividend Yield P/E Ratio Dividend Frequency Years Paying DGR
VAN.BR Van de Velde N.V. 458.3 million 7.50% 12.70 1 27 12%
8173.T Joshin Denki Co., Ltd. 458.0 million 5.32% 23.46 2 23 13%
TRA.NZ Turners Automotive Group Limited 456.9 million 3.78% 18.41 6 13 10%
603180.SS GoldenHome Living Co., Ltd. 456.4 million 1.96% 22.42 1 9 -
TACO Del Taco Restaurants, Inc. 455.9 million 0.96% 23.04 - - -
MARZF Marston's PLC 455.7 million 13.50% 5.11 - - -
603976.SS ChongQing Zhengchuan Pharmaceutical Packaging Co.,Ltd. 455.6 million 1.21% 169.33 1 9 30%
3859.KL Magnum Berhad 453.7 million 7.36% 9.92 4 20 20%
DIN Dine Brands Global, Inc. 453.7 million 3.02% 57.81 4 14 16%
HVT Haverty Furniture Companies, Inc. Challengers 453.6 million 4.53% 21.08 4 17 9%
7606.T United Arrows Ltd. 453.2 million 2.22% 20.56 2 25 30%
300176.SZ GuangDong HongTeo Technology Co.,Ltd. Class A 452.0 million 0.25% 112.43 1 2 -
2402.HK Beijing SinoHytec Co., Ltd. 451.8 million 0.00% - - - -
LOCO El Pollo Loco Holdings, Inc. 451.7 million 0.00% 12.68 - - -
3950.T The Pack Corporation 450.8 million 3.20% 12.06 2 17 18%
603326.SS Nanjing OLO Home Furnishing Co.,Ltd 450.6 million 4.73% 17 2 4 -
300695.SZ ZHEJIANG ZHAOFENG 450.6 million 1.85% 17.52 - - -
ELLRY ELRINGKLINGER AG UNSPON ADR EAC 450.0 million 0.04% - - - -
CRFCF Card Factory plc 449.6 million 0.00% 7.22 - 1 -
8160.T Kisoji Co., Ltd. 449.3 million 1.18% 18.22 2 26 26%
MUR.WA Murapol S.A. 449.3 million 11.98% 7.11 2 3 -
001216.SZ HUNAN HUALIAN CHIN 449.3 million 0.02% 15.23 - 3 -
002565.SZ SHANGHAI SHUNHO NE 448.7 million 0.01% 47.83 - 1 -
ARGGY Aston Martin Lagonda Global Holdings plc 448.6 million 441.17% -1.09 - - -
0468.HK GAPACK 448.3 million 2.05% 12.50 - 1 -
JGLCF JS Global Lifestyle Company Limited 448.2 million 3.88% -12.37 - - -
KBAL Kimball International, Inc. 447.9 million 2.93% 10.34 4 40 14%
603221.SS Elegant Home-Tech Co., Ltd. 447.1 million 1.46% 44.04 - 3 -
ELA Envela Corporation 446.1 million 0.00% 19.98 - - -
THGHY THG Plc 445.6 million 0.00% -1.56 - - -
SCVL Shoe Carnival, Inc. 445.1 million 3.83% 12.71 4 15 24%
HBB Hamilton Beach Brands Holding Company 443.6 million 1.54% 7.42 4 10 4%
GRVWF GREATVIEW ASEPTIC PACKAGING CO 443.2 million 0.17% 10.50 1 1 -
603839.SS Anzheng Fashion Group Co., Ltd. 443.1 million 1.30% -28.44 - 9 -16%
ASOMF ASOS Plc 442.7 million 0.00% - - - -
TFF.PA TFF Group 442.6 million 2.83% 16.34 1 26 10%
SWARAJENG.NS Swaraj Engines Limited 442.5 million 3.01% 22.57 1 19 20%
5946.T Chofu Seisakusho Co., Ltd. 441.4 million 2.22% 32.32 2 26 8%
688071.SS Shanghai W-Ibeda High Tech.Group Co.,Ltd. 441.4 million 0.00% -63.82 - - -
MEKO.ST Meko AB (publ) 441.1 million 0.00% 94.43 1 4 -
SWARAJENG.BO Swaraj Engines Limited 440.4 million 3.02% 22.44 1 19 28%
603982.SS Nanjing Chervon Auto Precision Technology Co., Ltd 440.2 million 0.00% -6.16 - - -
WEYS Weyco Group, Inc. 440.1 million 6.69% 12.75 4 43 2%
4551.TW Global PMX Co., Ltd. 439.0 million 3.44% 16.99 1 12 2%
GCO Genesco Inc. 438.7 million 0.43% 21.03 - - -
PTG.BK PTG Energy Public Company Limited 438.4 million 4.02% 15.82 1 14 22%
BNED Barnes & Noble Education, Inc. 437.9 million 0.63% 25.55 4 1 -
008730.KS Youlchon Chemical Co.,Ltd. 437.7 million 1.00% -66.06 1 26 -10%
TSIHF TSI Holdings Co.,Ltd. 437.3 million 4.33% 21.63 1 2 -
7052.KL Padini Holdings Berhad 437.2 million 2.98% 16.45 4 27 15%
NTHOL.IS Net Holding A.S. 436.8 million 0.00% 9.69 - - -
002862.SZ Shifeng Cultural Development Co., Ltd. 436.7 million 0.12% -53.12 - 1 -
ERW.BK The Erawan Group Public Company Limited 436.5 million 2.19% 17.41 1 3 -
KMBIF Kambi Group plc 436.3 million 0.00% 35.21 - - -
002799.SZ Xi'an Global Printing Co., Ltd. 435.7 million 0.44% -29.61 - - -
0289.HK WING ON CO 435.4 million 0.08% -8.81 2 25 16%
4536.TW Topkey Corporation 435.4 million 0.00% 8.21 1 15 30%
AX1.AX Accent Group Limited 435.2 million 4.63% 17.08 2 18 26%
000430.SZ Zhang Jia Jie Tourism Group Co., Ltd 434.3 million 0.00% -5.40 - - -
ITDC.BO India Tourism Development Corporation Limited 434.1 million 0.60% 52.12 1 3 -
BAJAJELEC.NS Bajaj Electricals Limited 433.9 million 0.84% 115.42 1 5 3%
301119.SZ HANGZHOU ZHENGQIAN 433.8 million 0.01% 33.49 - 3 -
600232.SS Zhejiang Golden Eagle Co.,Ltd. 433.8 million 1.25% -133.67 - 15 2%
ITDC.NS India Tourism Development Corporation Limited 433.2 million 0.60% 52.06 1 3 -
WFICF Wall Financial Corporation 433.1 million 5.38% 17.87 - 1 -
8244.T Kintetsu Department Store Co., Ltd. 432.8 million 1.15% 12.11 1 4 -
RANI3.SA Irani Papel e Embalagem S.A. 432.1 million 4.88% 8.90 5 8 10%
BAJAJELEC.BO Bajaj Electricals Limited 431.1 million 0.84% 38.19 1 5 11%
PTG-R.BK PTG Energy Public Company Limited 430.8 million 2.92% 25.91 1 10 22%
TKM1T.TL TKM Grupp AS 430.6 million 6.56% 19.45 1 21 -
VMART.BO V-Mart Retail Limited 430.0 million 0.00% 31.48 1 1 -
BBW Build-A-Bear Workshop, Inc. 429.8 million 2.63% 8.26 4 3 -
603023.SS Harbin VITI Electronics Co., Ltd. 429.6 million 0.00% -173 - - -
MVID.ME M VIDEO PJSC 429.0 million 0.00% 15.15 - - -
600857.SS Ningbo Zhongbai Co., Ltd. 428.1 million 0.70% 71.50 1 1 -
000955.SZ Xinglong Holding (Group) Company Ltd. 427.2 million 0.00% -535 - - -
0F8V.L AKWEL SA AKWEL ORD SHS 426.8 million 0.02% 7.32 1 10 16%
300594.SZ Shandong Longertek Technology Co., Ltd. 426.2 million 0.32% -61.33 - - -
ORIENTELEC.BO Orient Electric Limited 425.9 million 0.79% 46.82 2 9 0%
1562.KL Sports Toto Berhad 425.8 million 6.06% 8.80 4 27 19%
1307.TW San Fang Chemical Industry Co., Ltd. 424.9 million 7.89% 11.59 1 22 -
600774.SS Hanshang Group Co., Ltd. 424.8 million 0.00% -323.67 - - -
EOVBF AIRTRIP CORP 424.3 million 76.92% - - - -
TDUP ThredUp Inc. 424.2 million 0.00% - - - -
EDEMY eDreams ODIGEO S.A. 423.2 million 0.00% 16.17 - - -
3395.T Saint Marc Holdings Co., Ltd. 423.0 million 1.65% 34.98 2 21 2%
ECX ECARX Holdings, Inc. 422.5 million 0.00% - - - -
SKC.AX SkyCity Entertainment Group Limited 422.1 million 7.10% 23 - - -
603332.SS Suzhou Longjie Special Fiber Co., Ltd. 421.8 million 1.67% 52.76 1 8 -
RANKF The Rank Group Plc 421.6 million 4.45% 8.18 4 3 -
2681.T Geo Holdings Corporation 421.3 million 2.02% 13.61 2 23 6%
AOCIF AutoCanada Inc. 421.2 million 0.00% 203.22 - - -
SKC.NZ SkyCity Entertainment Group Limited 420.9 million 6.44% 20.38 - - -
7942.T JSP Corporation 420.5 million 3.13% 12.28 2 26 14%
600272.SS Shanghai Kai Kai Industry Company Limited 420.3 million 0.14% 119.89 - - -
2111.HK Best Pacific International Holdings Limited 420.0 million 7.89% 5.56 2 13 30%
B58.SI Banyan Tree Holdings Limited 420.0 million 2.10% 12.40 1 3 -
300652.SZ HANGZHOU RADICAL E 420.0 million 0.02% 23.59 - 7 30%
MGLV.JK PT Panca Anugrah Wisesa Tbk 419.9 million 0.00% 933.49 - - -
ORIENTELEC.NS Orient Electric Limited 418.0 million 0.80% 45.83 2 9 8%