Sector: Consumer Cyclical

Showing 201–300 of 6625 stocks (page 3 of 67).

Stock Market Cap Dividend Yield P/E Ratio Dividend Frequency Years Paying DGR
POH1.DE Carnival Corporation & plc 36.3 billion 0.00% - 1 1 -
6902.T DENSO Corporation 36.2 billion 2.99% 17.09 2 27 -7%
QIHCF Haier Smart Home Co., Ltd. 35.8 billion 7.97% 7.79 2 7 22%
QSR Restaurant Brands International Inc. Contenders 35.7 billion 3.15% 25.15 4 12 3%
0JQZ.L Kimberly-Clark Corporation 35.4 billion 4.86% 20.03 4 10 2%
7267.T Honda Motor Co., Ltd. 35.4 billion 4.76% 11.62 2 27 -10%
QSR.TO Restaurant Brands International Inc. canada 35.4 billion 2.31% 25.20 4 12 6%
0I50.L Trip.com Group Limited 35.3 billion 0.55% 15.85 - 1 -
HYMTF Hyundai Motor Company 35.1 billion 1.40% 2.96 4 21 27%
PPRUY Kering S.A. 35.0 billion 2.10% -1511 1 15 -6%
9961.HK Trip.com Group Limited 34.9 billion 0.56% 7.23 - 1 -
CUKPF Carnival Corporation & plc 34.6 billion 2.40% 10.68 - - -
LVS Las Vegas Sands Corp. 34.6 billion 2.13% 19.28 4 4 -
CUK Carnival Corporation & plc 34.3 billion 0.58% 11.67 - - -
0JTM.L The Estée Lauder Companies Inc. 34.0 billion 1.49% 10.25 4 10 0%
000651.SZ Gree Electric Appliances, Inc. of Zhuhai 33.2 billion 7.41% 7.67 2 8 0%
HMC Honda Motor Co., Ltd. 32.9 billion 5.30% - 2 44 12%
PPRUF Kering S.A. 32.8 billion 2.24% -1253.81 2 18 9%
LEN.B Lennar Corp. - Class B 32.8 billion 1.12% 8.55 3 21 30%
0LD5.L Tapestry, Inc. 32.5 billion 0.96% 50.29 4 10 12%
DNZOY DENSO Corporation 32.2 billion 1.44% 11.79 - - -
CASY Casey's General Stores, Inc. Champions 31.9 billion 0.27% 40.67 4 37 10%
0VFA.L RESTAURANT BRANDS INTERNATIONAL 31.9 billion 0.02% 27.35 1 1 -
690D.DE Haier Smart Home Co., Ltd. 31.7 billion 60.52% 7.57 2 7 28%
TRPCF Trip.com Group Limited 31.6 billion 0.00% 7.13 - 1 -
MAHMF MAHINDRA & MAHINDRA GDR EACH RE 31.0 billion 0.00% 17.25 1 16 30%
FCAU Fiat Chrysler Automobiles N.V. 30.9 billion 16.67% 6.57 - - -
HM-B.ST H & M Hennes & Mauritz AB (publ) 30.8 billion 4.05% 23.59 2 6 2%
HMSB.DE H & M Hennes & Mauritz AB (publ) 30.7 billion 0.00% 23.78 2 6 0%
DNZOF DENSO Corporation 30.6 billion 3.84% 11.75 2 31 -11%
TCOM Trip.com Group Limited 30.5 billion 0.00% 6.88 1 1 -
6690.HK Haier Smart Home Co., Ltd. 29.5 billion 5.38% 9.77 3 5 30%
ADDYY adidas AG 29.5 billion 1.96% 20.80 1 6 30%
CPNG Coupang, Inc. 29.5 billion 0.00% - - - -
ADS.DE adidas AG 29.5 billion 1.98% 18.45 1 27 24%
82020.HK ANTA Sports-r 29.5 billion 3.30% - 2 8 25%
ANPDY ANTA Sports Products Limited 29.3 billion 3.12% 13.67 2 18 24%
ADS.F adidas AG 29.3 billion 1.97% 18.93 1 25 17%
MGDDF MICHELIN(CIE GLE DES ETABL.) 29.0 billion 0.13% 3.64 1 16 27%
BAJAJ-AUTO.NS Bajaj Auto Limited 28.9 billion 2.14% 30.90 2 19 -14%
4661.T Oriental Land Co., Ltd. 28.8 billion 0.50% 36.22 2 26 -17%
BAJAJ-AUTO.BO Bajaj Auto Limited 28.8 billion 2.15% 30.75 2 19 -2%
2020.HK ANTA Sports Products Limited 28.4 billion 3.17% 13.58 2 19 24%
BRDCY Bridgestone Corporation 28.1 billion 3.46% 28.24 - - -
TPR Tapestry, Inc. 28.0 billion 1.12% 40.65 4 18 12%
ANPDF ANTA Sports Products Limited 28.0 billion 21.80% 14.43 2 19 0%
5108.T Bridgestone Corporation 27.9 billion 3.30% 14.04 2 27 6%
600690.SS Haier Smart Home Co., Ltd. 27.9 billion 5.47% 10.30 2 26 29%
TATAMOTORS.NS Tata Motors Limited 27.8 billion 0.84% 11.75 - 3 -
TATAMOTORS.BO Tata Motors Limited 27.8 billion 0.84% 11.75 - 3 -
0R1T.L Expedia Group, Inc. 27.2 billion 0.72% 158.10 4 2 -
HMRZF H & M Hennes & Mauritz AB (publ) 26.9 billion 3.78% 43.86 1 1 -
ML.PA Compagnie Générale des Établissements Michelin Société en commandite par actions 26.3 billion 4.36% 17.86 1 27 -14%
GELYF Geely Automobile Holdings Limited 26.3 billion 1.74% 11.17 2 22 20%
HMBS.XC H & M Hennes & Mauritz AB 26.2 billion 4.30% 24.09 2 4 -
EXPE Expedia Group, Inc. 26.1 billion 0.76% 19.24 4 2 -
ROL Rollins, Inc. Challengers 26.1 billion 1.35% 51.14 4 42 24%
GWLLF Great Wall Motor Company, Ltd. 25.9 billion 0.19% 9.53 2 20 -
GELHY Geely Automobile Holdings Limited 25.8 billion 2.69% 9.41 1 17 8%
GELYY Geely Automobile Holdings Limited 25.7 billion 1.65% 12.18 1 16 -2%
GRU.F Geely Automobile Holdings Limited 25.6 billion 0.00% 9.72 1 15 10%
600346.SS Hengli Petrochemical Co.,Ltd. 25.5 billion 0.00% 24.27 2 3 -
601633.SS Great Wall Motor Company Limited 25.2 billion 2.25% 15.72 1 14 12%
7269.T Suzuki Motor Corporation 25.2 billion 2.21% 10.26 2 27 -16%
012330.KS Hyundai Mobis Co.,Ltd 25.1 billion 1.53% - 3 26 12%
MGDDY Compagnie Générale des Établissements Michelin Société en commandite par actions 25.1 billion 4.27% 8.06 1 18 -2%
QSP-UN.TO Restaurant Brands International Limited Partnership 25.0 billion 3.11% 27.23 4 9 0%
601127.SS Seres Group Co.,Ltd. 24.7 billion 1.25% 22.26 1 2 -
HRSHF Haier Smart Home Co., Ltd. 24.6 billion 6.53% 9.37 4 5 22%
0KS6.L PulteGroup, Inc. 24.6 billion 0.75% 0.15 4 10 12%
1880.HK China Tourism Group Duty Free Corporation Limited 24.5 billion 1.93% 40.75 2 3 -
HSHCY Haier Smart Home Co., Ltd. 24.5 billion 6.51% 9.60 2 4 -
IHG InterContinental Hotels Group PLC 24.2 billion 1.14% 27.47 2 5 10%
RSTRF Restaurant Brands International Limited Partnership 24.1 billion 3.20% 24.59 4 9 10%
WSM Williams-Sonoma, Inc. Contenders 24.0 billion 1.49% 21.60 4 21 20%
600104.SS SAIC Motor Corporation Limited 24.0 billion 0.62% 56.56 1 24 -
9927.HK Seres Group Co.,Ltd 24.0 billion 0.84% 17.19 1 1 -
0QYR.L PANASONIC CORP PANASONIC ORD SH 23.5 billion 0.00% - 2 26 14%
SMFKY SMURFIT KAPPA GROUP PLC UNSP AD 23.5 billion 0.03% 14.05 2 11 30%
600660.SS Fuyao Glass Industry Group Co., Ltd. 22.9 billion 3.53% 17.20 2 21 13%
DRI Darden Restaurants, Inc. Challengers 22.7 billion 3.03% 21.23 4 32 20%
EICHERMOT.BO Eicher Motors Limited 22.6 billion 0.90% 40.13 1 26 30%
PHM PulteGroup, Inc. Challengers 22.5 billion 0.88% 11.67 4 14 12%
BLL Ball Corporation 22.5 billion 0.90% 28.62 - 39 22%
OLCLY Oriental Land Co., Ltd. 22.5 billion 0.71% 29.98 2 15 -16%
GXYEF Galaxy Entertainment Group, Ltd 22.4 billion 0.00% 125 2 3 -
RL Ralph Lauren Corporation Challengers 22.4 billion 1.00% 25.25 4 24 6%
ETERNAL.NS Eternal Ltd. 22.3 billion 0.00% 969.04 - - -
ETERNAL.BO Eternal Limited 22.3 billion 0.00% 967.29 - - -
LB L Brands, Inc. 22.3 billion 0.19% 26.64 - - -
STLA Stellantis N.V. 22.2 billion 0.00% - 1 7 14%
SW Smurfit Westrock Plc 22.2 billion 4.18% 58.18 4 3 -
LEN-B Lennar Corporation 22.2 billion 2.28% 13.02 4 24 23%
YAHOF LY Corporation 22.2 billion 2.90% 13.67 1 16 -12%
EICHERMOT.NS Eicher Motors Limited 22.0 billion 0.92% 39.15 1 29 24%
E3X1.DE Expedia Group Inc. R 22.0 billion 0.00% 17.60 - 1 -
0027.HK Galaxy Entertainment Group Limited 22.0 billion 4.06% 17.98 2 5 -
0KTS.L Ralph Lauren Corporation 21.9 billion 1.00% 44.34 4 10 18%
SZKMY Suzuki Motor Corporation 21.9 billion 2.52% 7.93 - - -
RIVN Rivian Automotive, Inc. 21.7 billion 0.00% - - - -