Sector: Consumer Cyclical

Showing 3101–3200 of 6709 stocks (page 32 of 68).

Stock Market Cap Dividend Yield P/E Ratio Dividend Frequency Years Paying DGR
SANGAMIND.NS Sangam (India) Limited 232.0 million 0.45% 37.93 2 17 25%
TMR.PR Tatry mountain resorts, a.s. 231.5 million 0.00% 69.92 - - -
DIVGIITTS.NS Divgi TorqTransfer Systems Limited 231.0 million 0.36% 59.89 1 3 -
SCT.LS Toyota Caetano 230.8 million 0.06% 11.40 - 4 -
1558.TW ZENG HSING INDUSTRIAL CO 230.6 million 0.04% 18.29 - 21 -21%
MPMX.JK Mitra Pinasthika Mustika Tbk. 230.6 million 0.00% 7.58 - 6 6%
LAOPALA.BO La Opala RG Limited 230.5 million 3.78% 21.59 - 17 30%
4419.TWO King House Co. Ltd. 229.8 million 0.00% -27.36 - - -
FMGOETZE.BO Federal-Mogul Goetze (India) Limited 229.6 million 0.00% 12.12 - - -
8185.T Chiyoda Co., Ltd. 229.3 million 5.02% 16.71 2 26 -3%
STYLEBAAZA.NS Baazar Style Retail Ltd. 229.0 million 0.00% 33.21 - - -
6002.SR Herfy Food Services Company 228.9 million 0.00% - - - -
LAOPALA.NS La Opala RG Limited 228.8 million 3.81% 21.48 - 17 30%
002836.SZ GUANGDONG NEW GRAN 228.6 million 0.01% 28.79 - 8 30%
194370.KS JS Corporation 228.4 million 4.93% - 2 11 10%
2729.TWO TTFB Company Limited 228.3 million 0.00% 25.41 - 14 30%
9943.TW Holiday Entertainment Co.,Ltd 228.3 million 8.22% 11.77 1 24 2%
0RP3.L KAMUX OYJ KAMUX ORD SHS 228.2 million 0.03% 9.87 2 7 0%
8916.TWO Kwong Lung Enterprise Co., Ltd. 227.9 million 0.00% 16.97 1 19 8%
SANGAMIND.BO Sangam (India) Limited 227.7 million 0.46% 36.59 2 17 25%
1086.HK Goodbaby International Holdings Limited 227.5 million 6.54% 6.69 1 2 -
CANTABIL.NS Cantabil Retail India Limited 226.8 million 0.48% 24.32 2 7 30%
7460.T Yagi & Co.,Ltd. 226.6 million 3.15% 10.27 2 27 23%
TIBN.SW Bergbahnen Engelberg-Trübsee-Titlis AG 226.3 million 1.46% 23.93 1 2 -
PCAR3.SA Companhia Brasileira de Distribuição 225.5 million 0.00% - - - -
FMGOETZE.NS Federal-Mogul Goetze (India) Limited 225.4 million 0.00% 11.90 - - -
3221.T Yossix Holdings Co.,Ltd. 225.3 million 0.80% 19.22 2 5 30%
WHEELS.NS Wheels India Limited 225.3 million 1.40% 15.90 2 25 30%
WHEELS.BO Wheels India Limited 224.9 million 1.40% 15.87 2 25 30%
1959.HK Centenary United Holdings Limited 224.9 million 0.00% -27.75 - - -
1382.HK Pacific Textiles Holdings Limited 224.4 million 7.87% 12.70 2 20 -24%
7246.KL Signature International Berhad 224.3 million 4.93% 10.14 3 3 -
7238.T Akebono Brake Industry Co., Ltd. 223.2 million 0.00% -18.50 - - -
SES SES AI Corporation 223.1 million 0.00% - - - -
AKW.PA Akwel 222.9 million 8.26% 12.31 2 17 26%
FRGI Fiesta Restaurant Group, Inc. 222.3 million - 20.75 - - -
PBH.AX PointsBet Holdings Limited 222.2 million 0.00% - - - -
LCUT Lifetime Brands, Inc. 221.4 million 1.83% 6.38 4 17 2%
5263.TWO Brogent Technologies Inc. 220.6 million 0.00% - - 3 -
NITINSPIN.BO Nitin Spinners Limited 220.5 million 0.80% 12.64 1 12 30%
KENS Kenilworth Systems Corp. 220.4 million 0.00% -65 - - -
CANTABIL.BO Cantabil Retail India Limited 220.3 million 0.60% 23.65 2 7 30%
DIVGIITTS.BO Divgi TorqTransfer Systems Limited 219.6 million 0.38% 56.88 1 3 -
TAJGVK.NS TAJGVK Hotels & Resorts Limited 219.1 million 0.60% 16.77 1 4 -
9905.TW GREAT CHINA METAL INDUSTRIES 219.1 million 0.05% 15.54 - 25 30%
600421.SS Hubei Huarong Holding Co.,Ltd. 219.0 million 0.00% -377.50 - - -
PBID.JK Panca Budi Idaman Tbk. 218.8 million 0.00% 7.78 1 7 15%
2114.TW Hsin Yung Chien Co., Ltd. 218.5 million 5.57% 16.46 1 22 9%
8442.TW WW HOLDING INC 218.4 million 5.08% 11.39 - 3 -
ILM.BK Index Living Mall Public Company Limited 217.9 million 6.99% 9.66 2 7 16%
ILM-R.BK Index Living Mall Public Company Limited 217.9 million 6.99% 15.41 2 7 20%
TAJGVK.BO TAJGVK Hotels & Resorts Limited 217.3 million 0.60% 16.07 1 3 -
005720.KS Nexen Corporation 216.7 million 2.76% - 1 1 -
001259.SZ BEIJING LIVEN TECH 216.5 million 0.00% 101 - 1 -
3333.T Asahi Co., Ltd. 215.9 million 3.42% 10.11 2 16 30%
7087.KL Magni-Tech Industries Berhad 215.4 million 6.55% 6.55 4 27 30%
8217.T Okuwa Co., Ltd. 215.0 million 3.09% -16.22 2 26 -
QRTEA Liberty Interactive Corporation 213.5 million 0.00% - - - -
NITINSPIN.NS Nitin Spinners Limited 213.4 million 0.83% 12.23 1 12 30%
DCR.WA Decora S.A. 213.1 million 5.32% 10.49 1 11 25%
6018.SR Sport Clubs Company 212.8 million 0.00% - - - -
9268.T Optimus Group Company Limited 212.5 million 3.63% -31.92 2 9 23%
0716.HK Singamas Container Holdings Limited 212.5 million 11.43% 7 2 10 -14%
241590.KS Hwaseung Enterprise Co., Ltd. 211.5 million 0.91% - 1 10 2%
VAF.LS Vista Alegre Atlantis, SGPS, S.A. 211.4 million 0.00% 54.50 - - -
JAX J. Alexander's Holdings, Inc. 211.1 million 0.00% 26.74 - - -
2305.T STUDIO ALICE Co.,Ltd. 211.1 million 2.53% 21.20 1 24 -4%
003011.SZ ZHEJIANG WALRUS NE 210.9 million 0.02% -15.37 - 4 -
3159.T Maruzen CHI Holdings Co.,Ltd. 210.9 million 1.65% 8.60 1 11 13%
NILKAMAL.NS Nilkamal Limited 210.6 million 1.48% 18.56 1 28 8%
ADH.AX Adairs Limited 210.4 million 6.25% 16.80 2 11 30%
SHUL4.SA Schulz S.A. 210.4 million 7.79% 7.38 5 17 8%
SNGSF Singamas Container Holdings Limited 210.3 million 2.89% 8.83 1 7 -
1268.TWO Hi-Lai Foods Co., Ltd 210.3 million 4.70% 15.95 1 10 23%
XTC.TO Exco Technologies Limited 210.3 million 0.00% 12.22 4 24 1%
BDT.DE Bertrandt AG 210.2 million 1.39% -3.44 - 19 21%
590A.T giftee Group, Inc. 210.1 million 1.18% 37.10 - - -
2340.SR ARTEX Industrial Investment Company 210.0 million 0.00% -4.83 - - -
7455.T Paris Miki Holdings Inc. 210.0 million 1.39% 32.31 1 25 6%
A30.SI Aspial Corporation Limited 209.8 million 2.80% 12.10 2 1 -
JILL J.Jill, Inc. 209.7 million 1.84% 10.80 4 3 -
NILKAMAL.BO Nilkamal Limited 209.6 million 1.49% 18.49 1 27 8%
GANECOS.NS Ganesha Ecosphere Limited 209.3 million 0.40% 50.14 1 11 25%
0398.HK Oriental Watch Holdings Limited 209.3 million 3.26% 9.11 2 27 2%
8018.T Sankyo Seiko Co., Ltd. 209.3 million 4.62% 76 2 26 17%
EIHAHOTELS.BO EIH Associated Hotels Limited 209.2 million 1.07% 20.86 1 4 -
AMA.AX AMA Group Limited 209.1 million 0.00% -61.50 - - -
7298.T Yachiyo Industry Co., Ltd. 208.7 million 2.45% 6.75 2 14 22%
ONEW OneWater Marine Inc. 208.7 million 0.00% - - - -
5210.T Nihon Yamamura Glass Co., Ltd. 208.5 million 5.54% 10.02 2 3 -
1221.HK SINO HOTELS 207.9 million 2.22% 20 - 2 -
7482.T Shimojima Co., Ltd. 207.6 million 3.82% 14.26 2 26 28%
2536.HK Palasino Holdings Limited 206.6 million 1.44% 201 1 2 -
CKI.TO Clarke Inc. 206.6 million 0.00% 8.37 - - -
2418.T TSUKADA GLOBAL HOLDINGS Inc. 206.6 million 1.73% 6.91 2 5 30%
KORDS.IS Kordsa Teknik Tekstil A.S. 206.4 million 0.00% -5.87 - - -
GJTL.JK PT. Gajah Tunggal Tbk 206.2 million 4.74% 3.72 1 3 -
JAVER.MX Servicios Corporativos Javer, S.A.B. de C.V. 205.8 million 0.00% 8.78 2 1 -
EIHAHOTELS.NS EIH Associated Hotels Limited 205.7 million 1.09% 20.79 1 4 -
SGC Superior Group of Companies, Inc. 205.5 million 3.98% 25.78 4 42 8%