Sector: Consumer Cyclical

Showing 3201–3300 of 6709 stocks (page 33 of 68).

Stock Market Cap Dividend Yield P/E Ratio Dividend Frequency Years Paying DGR
7937.T Tsutsumi Jewelry Co.,Ltd. 205.5 million 2.32% 36.25 2 23 -
MCK.NZ Millennium & Copthorne Hotels New Zealand Limited 205.0 million 0.92% 25.08 1 5 -
HERE Here Group Limited 205.0 million 9.58% 2.87 - - -
4008.SR Saudi Company for Hardware 205.0 million 0.00% 14.49 1 1 -
PSQ.F Somboon Advance Technology Public Company Limited 204.6 million 10.35% 8.32 2 16 8%
EXCOF Exco Technologies Limited 204.3 million 5.93% 12.21 3 21 0%
7769.T Rhythm Co.,Ltd. 204.2 million 1.79% 44.64 1 17 26%
0305.HK Wuling Motors Holdings Limited 203.8 million 1.03% 16.17 1 16 16%
MAPB.JK PT. Map Boga Adiperkasa Tbk 203.6 million 0.00% -20.53 - - -
4170.SR Tourism Enterprises Co. 203.1 million 0.00% 659 - - -
0321.HK Texwinca Holdings Limited 202.5 million 4.35% 12.78 2 27 30%
037710.KS Gwangju Shinsegae. Co. ,Ltd. 202.5 million 5.85% 5.64 2 2 -
3580.T KOMATSU MATERE Co.,Ltd. 202.4 million 3.23% 22.23 2 26 25%
9278.T Bookoff Group Holdings Limited 202.1 million 1.36% 17.52 1 8 19%
3836.HK China Harmony Auto Holding Limited 201.7 million 3.77% -5.89 - - -
ALLHB.PA Les Hôtels Baverez S.A. 201.7 million 0.41% 28.38 1 4 -
0KT6.L RCI Hospitality Holdings, Inc. 201.0 million 1.21% 5.89 4 10 14%
BRIGHOTEL.BO Brigade Hotel Ventures Limited 200.9 million 0.00% 47.01 - - -
2668.HK Pak Tak International Limited 200.9 million 0.00% -4.67 - - -
8291.T Nissan Tokyo Sales Holdings Co., Ltd. 200.8 million 4.46% 9.60 2 14 30%
KOA.OL Kongsberg Automotive ASA 200.3 million 0.00% -8.85 - - -
IMS.MI Immsi S.p.A. 200.1 million 3.94% 50.80 - 4 -
2150.HK Nayuki Holdings Limited 199.9 million 0.00% -2.24 - - -
PARP.PA Groupe Partouche S.A. 199.7 million 1.78% 3.38 1 4 -
RPNMF Rapala VMC Corporation 199.7 million 0.92% 16.73 1 2 -
2399.HK China Anchu Energy Storage Group Limited 199.5 million 0.00% -3.79 - - -
8101.T GSI Creos Corporation 199.4 million 3.94% 12.85 1 15 20%
9441.T Bell-Park Co.,Ltd. 199.2 million 3.94% 13.32 2 27 20%
003200.KS Ilshin Spinning Co.,Ltd 198.2 million 3.02% - 1 1 -
5517.KL Shangri-La Hotels (Malaysia) Berhad 198.1 million 4.89% 26.29 2 3 -
6470.T Taiho Kogyo Co., Ltd. 197.8 million 1.80% 1113 2 26 -3%
GANECOS.BO Ganesha Ecosphere Limited 197.5 million 0.64% 47.33 1 16 25%
CA1.MU Circus SE 197.3 million 0.00% - - - -
AKBIF Akebono Brake Industry Co., Ltd. 196.5 million 0.00% -14.48 - - -
6238.T FURYU Corporation 196.5 million 3.30% 16.89 1 11 24%
KGAUF Kongsberg Automotive ASA 196.0 million 0.00% - - - -
MOLDTKPAC.BO Mold-Tek Packaging Limited 195.7 million 0.71% 27.25 2 18 -14%
FILATEX.NS Filatex India Limited 195.5 million 0.59% 10.15 1 5 30%
KRSOF Karsan Otomotiv Sanayii ve Ticaret A.S. 195.3 million 0.00% 49.40 - - -
900140.KS LVMC Holdings 195.2 million - - - - -
MAMK MaxsMaking Inc. Class A Ordinary Shares 195.0 million 0.00% 216.67 - - -
RICK RCI Hospitality Holdings, Inc. 194.9 million 1.18% 11.91 4 11 14%
LUCY.JK PT Lima Dua Lima Tiga Tbk 194.6 million 0.00% -434.54 - - -
VESTL.IS Vestel Elektronik Sanayi ve Ticaret Anonim Sirketi 194.5 million 0.00% -0.40 - - -
AMER3.SA Americanas S.A. 194.4 million 0.00% -0.07 - - -
WEL.NS Wonder Electricals Ltd. 194.3 million 0.14% 102.50 2 3 -
BAP.AX Bapcor Limited 194.2 million 16.67% -2.79 1 11 -10%
0951.HK Chaowei Power Holdings Limited 194.2 million 3.12% 4.45 1 11 -14%
GNA.BO G N A Axles Limited 193.3 million 0.70% 16.54 1 6 30%
ARL.WA Arlen S.A. 193.2 million 0.00% 13.65 1 1 -
SRI Stoneridge, Inc. 193.1 million 0.00% - - - -
BBED.AS Beter Bed Holding N.V. 193.0 million 2.48% 22.44 1 2 -
GNA.NS G N A Axles Limited 192.9 million 0.70% 16.51 1 6 30%
MOLDTKPAC.NS Mold-Tek Packaging Limited 192.9 million 0.72% 26.90 2 12 -14%
4191.SR Abdullah Saad Mohammed Abo Moati for Bookstores Company 192.8 million 2.76% 32.02 2 10 30%
1444.TW Lealea Enterprise Co., Ltd. 192.7 million 0.00% -9.50 - - -
8139.T Nagahori Corporation 192.7 million 0.50% 64.23 1 26 30%
FILATEX.BO Filatex India Limited 192.4 million 0.60% 9.99 1 5 -1%
WEL.BO Wonder Electricals Limited 192.2 million 0.15% 101.41 2 3 -
3073.T DD Holdings Co.,Ltd. 192.2 million 0.00% 13.33 - - -
6584.T Sanoh Industrial Co., Ltd. 191.9 million 2.86% - - - -
GOODYEAR.BO Goodyear India Limited 191.2 million 3.02% 32.21 1 20 5%
9520.SR Shatirah House Restaurant Co. 191.0 million 0.00% 45.51 - - -
035150.KS BAIKSAN Co,. Ltd 190.9 million 2.63% - 2 16 30%
9628.T SAN Holdings, Inc. 190.6 million 3.63% 6.57 1 26 11%
1315.TW Tah Hsin Industrial Corporation 189.4 million 7.09% 38.72 2 27 4%
BBN.AX Baby Bunting Group Limited 189.4 million 3.54% 39.60 - - -
ARGO.JK PT Argo Pantes Tbk 188.7 million 0.00% -159.16 - - -
8083.TWO Pro-Hawk Corporation 188.7 million 5.81% 17.57 1 19 4%
INDNIPPON.NS India Nippon Electricals Limited 188.6 million 1.95% 18.31 1 25 16%
6462.T Riken Corporation 188.6 million 3.23% 7.78 - - -
CDGXY China Dongxiang (Group) Co., Ltd. 188.4 million 4.81% 26.67 2 13 30%
151860.KQ KG Eco Solution Co.,Ltd. 188.4 million 2.36% - 1 1 -
INDNIPPON.BO India Nippon Electricals Limited 187.6 million 1.96% 20.01 1 25 16%
WLMM3.SA WLM Participações e Comércio de Máquinas e Veículos S.A. 187.5 million 3.20% 8.10 3 5 29%
PLAT.AT Thrace Plastics Holding Company S.A. 187.5 million 6.33% 13.50 2 9 13%
HLO.AX Helloworld Travel Limited 187.3 million 11.73% 5.06 2 5 -14%
SHANG.BK Shangri-La Hotel Public Company Limited 186.3 million 1.05% 25.68 1 3 -
6281.TW E-Life Corporation 186.1 million 6.66% 16.16 1 21 11%
5902.T Hokkan Holdings Limited 186.1 million 4.15% 8.51 2 26 25%
SAT.BK Somboon Advance Technology Public Company Limited 186.0 million 11.03% 8.43 2 17 9%
COSMOFIRST.BO Cosmo First Limited 185.7 million 0.58% 12.23 1 27 -12%
BBQ BBQ Holdings, Inc. 185.5 million - 15.53 - - -
SPAL.NS S.P. Apparels Limited 185.5 million 0.28% 15.76 1 1 -
300329.SZ HAILUN PIANO CO LT 185.3 million 0.00% -12.67 - 1 -
325A.T Tential Inc. 184.8 million 0.00% 24.54 - - -
NELLY.ST Nelly Group AB (publ) 184.7 million 1.42% 10.43 - - -
HINDWAREAP.NS Hindware Home Innovation Limited 184.7 million 0.18% -31.36 - - -
SHR.BK S Hotels and Resorts Public Company Limited 184.3 million 2.65% -3.86 2 3 -
GBBYF Goodbaby International Holdings Limited 183.8 million 5.82% 5.67 1 2 -
YATRA.BO Yatra Online Limited 183.8 million 0.00% 32.59 - - -
2753.T Amiyaki Tei Co., Ltd. 183.8 million 2.39% 20.08 2 24 9%
LRH.BK Laguna Resorts & Hotels Public Company Limited 183.6 million 0.03% 3.65 - 2 -
KRIUF THE KEG ROYALTIES INCOME FD 183.5 million 0.00% 16.53 12 21 14%
RRGB Red Robin Gourmet Burgers, Inc. 183.1 million 0.00% - - - -
SPAL.BO S.P. Apparels Limited 183.0 million 0.29% 15.54 1 1 -
8924.TWO O-TA Precision Industry Co., Ltd. 182.9 million 6.15% 13.16 1 9 1%
1020.HK Ciprun Technology Holdings Company Limited 182.7 million 0.00% -37 - - -
RANEHOLDIN.NS Rane Holdings Limited 182.6 million 3.11% 47.23 1 5 30%
COSMOFIRST.NS Cosmo First Limited 182.6 million 0.59% 12.02 1 27 -14%