Sector: Industrials

Showing 1201–1300 of 9586 stocks (page 13 of 96).

Stock Market Cap Dividend Yield P/E Ratio Dividend Frequency Years Paying DGR
AQUA Evoqua Water Technologies Corp. 6.0 billion - 77.94 - - -
LSTR Landstar System, Inc. 6.0 billion 2.03% 45.79 4 13 30%
WAWIO.XD Wallenius Wilhelmsen ASA 6.0 billion - - - - -
RKWBF Rockwool A/S 6.0 billion 1.92% 13.44 1 2 -
5398.KL Gamuda Berhad 6.0 billion 2.42% 24.35 2 5 30%
WAWI.OL Wallenius Wilhelmsen ASA 6.0 billion 8.35% 5.81 2 5 30%
MOTV3.SA Motiva S.A. 6.1 billion 3.11% 10.75 2 19 14%
ROCK-A.CO Rockwool A/S 6.0 billion 3.39% 251.19 1 27 19%
9880.HK UBTECH Robotics Corp Ltd 6.0 billion 0.00% -40 - - -
5332.T Toto Ltd. 6.0 billion 1.73% 236.32 2 27 6%
KTWIY Kurita Water Industries Ltd. 6.0 billion 1.10% 39.78 2 7 12%
FCC.MC Fomento de Construcciones y Contratas, S.A. 5.9 billion 4.68% 26.59 1 8 4%
ADRZF ANDRITZ AG 6.0 billion 0.05% 10.85 1 22 -
MYCR.ST Mycronic AB (publ) 6.0 billion 1.12% 34.31 1 13 30%
603606.SS Ningbo Orient Wires & Cables Co.,Ltd. 5.9 billion 0.92% 31.45 1 12 -
000988.SZ HUAGONG TECH CO 5.9 billion 0.01% 35.29 - 17 14%
0598.HK Sinotrans Limited 5.9 billion 6.11% 8.35 2 24 26%
SUZLON.BO Suzlon Energy Limited 5.9 billion 0.00% 17.36 - - -
SUZLON.NS Suzlon Energy Limited 5.9 billion 0.00% 17.35 - - -
IVG.MI Iveco Group N.V. 5.9 billion 1.73% 21.93 1 3 -
ALK Alaska Air Group, Inc. 5.9 billion 2.70% 94.14 - - -
3931.HK CALB Group Co., Ltd. 5.9 billion 0.00% 50 - - -
600685.SS CSSC Offshore & Marine Engineering (Group) Company Limited 5.9 billion 0.43% 58.58 2 6 30%
JSWINFRA.BO JSW Infrastructure Limited 5.9 billion 0.30% 34.77 1 3 -
AIR AAR Corp. 5.9 billion 0.20% 26.50 - - -
002444.SZ Hangzhou Greatstar Industrial Co., Ltd 5.8 billion 1.52% 15.63 2 4 -
BLHWF BELIMO Holding AG 5.8 billion 1.96% 40.81 1 10 30%
IMIAF IMI 5.8 billion 0.01% - - - -
YATRF Yamato Holdings Co., Ltd. 5.8 billion 2.12% 20.09 3 24 12%
R3NK.DE RENK Group AG 5.8 billion 1.16% 50.75 1 3 -
MDA.TO MDA Ltd. 5.8 billion 0.00% 62.92 - - -
TKMS.DE TKMS AG & Co KGaA 5.8 billion 0.00% 51.97 - - -
FELTF Fuji Electric Co., Ltd. 5.8 billion 1.98% 13.37 1 14 8%
BDRPF Bombardier Inc. 5.8 billion 10.15% - 11 21 25%
CWST Casella Waste Systems, Inc. 5.8 billion 0.00% 1132 - - -
SGHDY SG Holdings Co.,Ltd. 5.8 billion 3.56% 14.97 - - -
TIINDIA.BO Tube Investments of India Limited 5.8 billion 0.12% 92.06 2 10 -
AMDLY Amada Co., Ltd. 5.8 billion 3.49% 33.18 - - -
DLB Dolby Laboratories, Inc. 5.7 billion 2.35% 26 4 13 8%
9147.T Nippon Express Holdings,Inc. 5.7 billion 2.65% 344.79 2 5 -30%
ADRZY ANDRITZ AG UNSP ADR EACH REPR 0 5.7 billion 4.33% 10.42 1 14 3%
FBIN Fortune Brands Innovations, Inc. 5.7 billion 2.01% 41.02 4 14 2%
ARCVF ARCADIS NV 5.7 billion 0.01% 32.95 1 4 -
2FB.F Fortune Brands Innovations, Inc. 5.7 billion 2.14% 19.43 3 2 -
CMHHF CHINA MERCHANTS PORT HLDGS LTD 5.7 billion 0.00% 6.80 2 21 -4%
HTCMF Hitachi Construction Machinery Co., Ltd. 5.7 billion 4.50% 8.65 2 17 21%
0392.HK Beijing Enterprises Holdings Limited 5.7 billion 4.58% 7.30 2 19 28%
688778.SS XTC New Energy Materials(Xiamen) Co.,Ltd. 5.7 billion 0.79% 57.73 2 5 -
SFSN.SW SFS Group AG 5.7 billion 2.08% 20.99 1 12 -
0HUR.L Celanese Corporation 5.6 billion 0.23% 2.76 4 9 -16%
HRI Herc Holdings Inc. 5.6 billion 1.66% 88.32 4 6 20%
CMHHY China Merchants Port Holdings Company Limited 5.6 billion 6.00% 7.30 - - -
BCVVF BOC AVIATION LTD 5.6 billion 0.05% - - - -
CSW CSW Industrials, Inc. 5.6 billion 0.32% 47.27 4 2 -
FTAIP FTAI Aviation Ltd. - 8.25% Fixe 5.6 billion 4.73% -7.24 4 6 -
1081.HK DAJIN 5.6 billion 0.28% 25.27 - - -
ADT ADT Inc. 5.6 billion 2.81% 10.85 4 9 13%
300207.SZ SUNWODA ELECTRONIC 5.6 billion 0.01% 25.33 1 10 30%
JSWINFRA.NS JSW Infrastructure Limited 5.6 billion 0.31% 33.21 1 3 -
6370.T Kurita Water Industries Ltd. 5.6 billion 1.25% 40.10 2 26 8%
EJTTF EASYJET 5.6 billion 0.01% 12.96 - - -
SHKLY Sinotruk (Hong Kong) Limited 5.6 billion 2.26% 12.65 1 12 16%
TIINDIA.NS Tube Investments of India Limited 5.6 billion 0.13% 88.77 2 10 -
300390.SZ Canmax Technologies Co., Ltd. 5.5 billion 1.33% -901 - 8 30%
GXO GXO Logistics, Inc. 5.5 billion 0.00% 42.68 - - -
SNCAF SNC-Lavalin Group Inc. 5.5 billion 0.18% 53.47 4 18 -
FNCNF Fincantieri S.p.A. 5.5 billion 0.00% 23.48 - - -
601126.SS Beijing Sifang Automation Co.,Ltd 5.5 billion 0.00% 44.77 1 16 22%
MYTHY Mytilineos S.A. 5.5 billion 3.49% 8.96 1 6 26%
AMTM Amentum Holdings, Inc. 5.5 billion 0.00% 27.13 - - -
600862.SS AVIC Aviation High-Technology Co., Ltd. 5.5 billion 0.94% 34.52 1 8 14%
CPA Copa Holdings, S.A. 5.5 billion 5.00% 8.83 4 4 -
0IIW.L Etsy, Inc. 5.5 billion 0.00% 19 - - -
PINFRAL.MX Promotora y Operadora de Infraestructura, S. A. B. de C. V. 5.5 billion 2.55% 5.06 3 7 12%
3OY1.MU Maire Tecnimont S.p.A. 5.5 billion 2.46% - 1 5 30%
2880.HK Liaoning Port Co., Ltd. 5.5 billion 2.67% 14 1 20 4%
000725.KS Hyundai Engineering & Construction Co., Ltd. 5.5 billion 0.94% - 1 3 -
ESAB ESAB Corporation 5.5 billion 0.49% 27.57 4 5 30%
603298.SS Hangcha Group Co., Ltd 5.4 billion 2.50% 16.66 2 10 14%
EQPT EquipmentShare.com Inc. 5.4 billion 0.00% 237.89 - - -
601399.SS Sinomach Heavy Equipment Group Co., Ltd. 5.4 billion 0.00% 84.50 - - -
DEME.BR DEME Group N.V. 5.4 billion 2.47% 13.51 1 4 -
ACDVF Air Canada 5.4 billion 0.00% 10.27 - - -
SCTBY Securitas AB (publ) 5.4 billion 3.60% 36.35 2 6 30%
DANM.XD Danieli & C Officine Meccaniche 5.4 billion - - - - -
0576.HK Zhejiang Expressway Co., Ltd. 5.4 billion 5.90% 6.73 1 27 30%
GVA Granite Construction Incorporated 5.4 billion 0.43% - 4 37 -
CENER.AT Cenergy Holdings SA 5.4 billion 1.21% 24.04 1 11 -9%
0QM5.L Emmi AG 5.4 billion 2.02% 20.17 1 13 6%
0148.HK Kingboard Holdings Limited 5.4 billion 3.63% 15.57 2 27 2%
EIFZF Exchange Income Corporation 5.4 billion 0.00% 38.31 12 23 -3%
SWEC-B.ST Sweco AB (publ) 5.4 billion 2.34% 23.03 1 27 10%
ISS.CO ISS A/S 5.3 billion 1.43% 14.06 1 4 -
STBBF STRABAG SE 5.3 billion 0.05% - - - -
THAI.BK Thai Airways International Public Company Limited 5.3 billion 0.00% 5.69 1 1 -
MIDD The Middleby Corporation 5.3 billion 0.00% 18.37 - - -
RICOY Ricoh Company, Ltd. 5.3 billion 2.62% 15.43 - - -
EBCOF Ebara Corporation 5.3 billion 2.80% 13.15 3 13 30%
VSNT Versant Media Group, Inc. Class A 5.3 billion 2.04% 6.75 2 1 -
UNF UniFirst Corporation 5.3 billion 0.50% 34.71 4 42 8%