Sector: Consumer Cyclical

Showing 3701–3800 of 6709 stocks (page 38 of 68).

Stock Market Cap Dividend Yield P/E Ratio Dividend Frequency Years Paying DGR
3329.T Towa Food Service Co., Ltd. 108.1 million 0.94% 23.92 2 22 26%
2694.T Yakiniku Sakai Holdings Inc. 108.0 million 0.68% -23.62 1 5 -
0918.HK Majestic Dragon AeroTech Holdings Limited 107.9 million 0.00% -38 - - -
HENGY Hengdeli Holdings Limited 107.8 million 4.57% 18.50 - - -
JAYBARMARU.NS Jay Bharat Maruti Limited 107.7 million 0.74% 12.74 1 25 6%
FLEXO.AT Flexopack Société Anonyme Commercial and Industrial Plastics Company 107.6 million 2.10% 9.13 1 9 8%
ACGL.BO Automobile Corporation of Goa Limited 107.5 million 1.48% 17.39 2 4 -
2722.TW Chateau International Development Co., Ltd. 107.5 million 0.62% -38.79 - 15 30%
089470.KS HDC Hyundai Engineering Plastics Co., Ltd. 107.5 million 2.38% - 1 2 -
6039.T Japan Animal Referral Medical Center Co., Ltd. 107.5 million 0.56% 24.75 1 3 -
3558.T JADE GROUP, Inc. 107.4 million 1.82% 15.42 1 1 -
IGARASHI.NS Igarashi Motors India Limited 107.3 million 0.77% 75.67 1 4 -
005800.KS Shinyoungwacoal,Inc. 107.1 million 0.89% - 1 26 -4%
2249.TWO Young Shine Electric Co., Ltd. 107.0 million 2.43% 11.45 1 7 30%
HKTVY Hong Kong Technology Venture Company Limited 106.8 million 35.80% -18.75 - - -
1425.HK JUSTIN ALLEN H 106.7 million 0.08% 4.79 1 5 16%
CALN.SW CALIDA Holding AG 106.5 million 0.00% - 1 23 -26%
GRWG GrowGeneration Corp. 106.4 million 0.00% - - - -
6811.HK TAI HING GROUP 106.3 million 0.08% 13.83 2 6 -12%
AMC.WA Amica S.A. 106.3 million 3.86% 13.98 1 3 -
VBX.F Voltabox AG 106.2 million 0.00% -20.76 - - -
ANR.WA Answear.com S.A. 106.0 million 0.00% 14.96 - - -
7794.T EDP Corporation 105.9 million 0.00% -7.14 - - -
FFIE Faraday Future Intelligent Elec 105.8 million 0.00% 0.00 - - -
123410.KQ Korea Fuel-Tech Corporation 105.7 million - - 1 1 -
MCRAA McRae Industries, Inc. 105.7 million 1.31% 11.69 4 39 30%
VHLTD.NS Viceroy Hotels Limited 105.6 million 0.00% 45.59 - - -
3719.KL Panasonic Manufacturing Malaysia Berhad 105.3 million 8.76% 9.70 2 27 -6%
4994.T Taisei Lamick Co., Ltd. 105.2 million 2.56% 12.40 2 25 -
0QP3.L CALIDA Holding AG 105.0 million 1.44% 5.03 1 6 -30%
3529.T Atsugi Co., Ltd. 104.9 million 0.00% -16.19 - - -
SAPL.BO SAR Auto Products Limited 104.8 million 0.00% 10000 - - -
BIL.BO Bhartiya International Ltd. 104.8 million 0.00% 25.98 - - -
3665.T Enigmo Inc. 104.6 million 2.38% 66.25 1 7 9%
SAINTGOBAIN.BO Saint-Gobain Sekurit India Limited 104.5 million - 27.72 1 5 30%
274A.T GARDEN CO LTD 104.5 million 3.86% 28.77 - - -
9275.T NARUMIYA INTERNATIONAL Co., Ltd. 103.8 million 3.15% 11.75 1 7 20%
5204.T Ishizuka Glass Co., Ltd. 103.0 million 1.54% 5.57 1 5 16%
5275.KL Mynews Holdings Bhd 102.8 million 3.57% 28 2 4 -
1598.TW Dyaco International Inc. 102.8 million 2.53% 38.08 1 2 -
BIL.NS Bhartiya International Ltd. 102.8 million 0.00% 25.46 - - -
KEQU Kewaunee Scientific Corporation 102.7 million 2.12% 10.54 - - -
5131.KL Zhulian Corporation Berhad 102.4 million 2.20% 91.00 4 20 -10%
VBX.DE Voltabox AG 102.3 million 0.00% -20 - - -
G50.SI Grand Banks Yachts Limited 102.1 million 2.14% 10 2 6 30%
5941.T Nakanishi Mfg. Co., Ltd. 102.0 million 2.50% 9.50 1 26 28%
BULTEN.ST Bulten AB (publ) 102.0 million 0.00% 98.51 - 14 6%
KMD.NZ KMD Brands Limited 101.8 million 0.00% -1.85 - - -
360070.KQ TOP MATERIAL Co., Ltd 101.8 million 2.22% - - - -
FESTF Hybrid Kinetic Group Limited 101.8 million 0.00% - - - -
7235.T Tokyo Radiator Mfg.Co.,Ltd. 101.6 million 3.62% 8.45 2 23 30%
6191.T AirTrip Corp. 101.6 million 1.39% 9.11 1 9 -
RFGPF Retail Food Group Limited 101.2 million 584.25% 26.67 - - -
BORANA.NS Borana Weaves Ltd. 101.2 million 0.00% 40.87 - - -
013520.KS Hwaseung Corporation Co.,Ltd. 101.2 million 2.45% - 1 17 23%
CZASF China ZhengTong Auto Services Holdings Limited 101.2 million 303.96% -0.17 - - -
GRPLTD.BO GRP Limited 101.0 million 0.80% 40.16 1 25 30%
4557.TW Yusin Holding Corp. 100.8 million 9.66% 224.33 1 11 -6%
010100.KS Korea Movenex Co., Ltd. 100.6 million 2.14% - 1 3 -
GRPLTD.NS GRP Limited 100.4 million 0.81% 39.85 1 12 30%
VCCTF Victoria PLC 100.3 million 0.00% 0.33 - - -
070960.KS Mona Yongpyong Corp. 100.0 million - - - - -
PMTYF Playmates Toys Limited 100.0 million 7.86% 6.50 4 2 -
RROTF Roots Corporation 100.0 million 0.00% 33.33 - - -
079430.KS Hyundai Livart Furniture Company Limited 99.7 million 1.85% - 1 2 -
SIRZF SIR Royalty Income Fund 99.5 million 7.28% 8.79 11 21 30%
1906.HK Bonny International Holding Limited 99.4 million 0.00% -26.50 - - -
VRA Vera Bradley, Inc. 99.2 million 0.00% - - - -
FFIEW Property Solutions Acquisition 99.1 million 0.00% -0.02 - - -
ENMHF ENM Holdings Limited 99.0 million 0.00% -4 - - -
1341.TW Fulin Plastic Industry (Cayman) Holding Co., Ltd. 99.0 million 8.67% 15.04 1 8 1%
9580.SR Al Rashid Industrial Co. 98.9 million 4.20% 9.55 2 3 -
TBZ.NS Tribhovandas Bhimji Zaveri Limited 98.9 million 1.59% 6.54 1 8 30%
6073.T Asante Incorporated 98.6 million 3.86% 31.97 2 14 1%
1587.TW Cryomax Cooling System Corp. 98.5 million 1.21% 197 - 14 -14%
UFBL.BO United Foodbrands Limited 98.4 million 0.00% -14.24 - - -
HWGG HWGG Entertainment Limited 98.4 million 0.00% -95 - - -
0420.HK FOUNTAIN SET 98.4 million 0.04% 6.30 - 1 -
5196.KL Berjaya Food Bhd 98.2 million 0.00% -1.61 - - -
2241.TW Amulaire Thermal Technology, Inc. 98.0 million 0.00% -20.83 - - -
2739.TW My Humble House Hospitality Management Consulting Co., Ltd. 97.5 million 0.00% 14.51 1 2 -
UFBL.NS United Foodbrands Ltd. 97.3 million 0.00% -14.07 - - -
2298.HK Cosmo Lady (China) Holdings Company Limited 97.2 million 1.43% 7 1 3 -
5DP.SI Heeton Holdings Limited 97.1 million 3.92% -25.50 1 5 11%
TBZ.BO Tribhovandas Bhimji Zaveri Limited 97.0 million 1.62% 6.42 1 8 30%
BARK BARK, Inc. 96.8 million 0.00% - - - -
VIRC Virco Mfg. Corporation 96.7 million 1.63% - 4 4 -
9272.T Boutiques, Inc. 96.7 million 0.00% 124.43 - - -
ROHLTD.NS Royal Orchid Hotels Limited 96.5 million 0.74% 24.63 1 3 -
2340.T Gokurakuyu Holdings Co., Ltd. 96.5 million 0.00% 21.60 - - -
ALATI.PA ACTIA GROUP S.A. 96.5 million 0.03% 10.38 - - -
8917.T First Juken Co., Ltd. 96.4 million 3.91% 7.88 - - -
1339.TW Y.C.C. Parts Mfg. Co., Ltd. 96.3 million 7.21% 20.19 1 16 -
ORTHEX.HE Orthex Oyj 96.1 million 4.94% 12.32 2 5 30%
ROHLTD.BO Royal Orchid Hotels Limited 96.1 million 0.75% 19.89 1 3 -
004250.KS NPC Co., Ltd. 96.1 million 2.94% - 1 26 1%
7608.T SK Japan Co.,Ltd. 95.8 million 4.51% 12.46 2 24 30%
BOROSCI.NS Borosil Scientific Ltd. 95.8 million 0.00% 56.82 - - -
063170.KQ Seoul Auction Co. Ltd. 95.8 million - - - - -
ALBI.PA Gascogne S.A. 95.8 million 0.00% 36.67 - - -