Sector: Industrials

Showing 3301–3400 of 9592 stocks (page 34 of 96).

Stock Market Cap Dividend Yield P/E Ratio Dividend Frequency Years Paying DGR
WABAG.NS VA Tech Wabag Limited 801.8 million 0.33% 22.70 1 2 -
NESCO.BO Nesco Limited 801.7 million 0.60% 19.08 1 22 6%
MEG Montrose Environmental Group, Inc. 800.8 million 0.00% - - - -
JLG.AX Johns Lyng Group Limited 799.0 million 0.63% 30.69 2 8 18%
603095.SS Zhejiang Yuejian Intelligent Equipment Co.,Ltd. 798.6 million 4.15% 51.17 1 5 30%
002328.SZ Shanghai Xinpeng Industry Co.,Ltd. 797.7 million 2.04% 36.68 2 17 -
SPSTY Singapore Post Limited 797.6 million 1.21% 30.83 2 14 6%
601218.SS Jiangsu JIXIN Wind Energy Technology Co., Ltd. 796.1 million 0.18% 50.36 2 7 20%
603012.SS Shanghai Chuangli Group Co., Ltd. 794.8 million 1.21% 33.16 1 12 12%
APOLLO.NS Apollo Micro Systems Limited 794.6 million 0.12% 84.26 1 6 30%
002111.SZ WEIHAI GUANGTAI AI 793.4 million 0.01% 29.62 - 14 -15%
002896.SZ NINGBO ZHONGDA LEA 792.7 million 0.00% 73.67 - 7 10%
THEP.PA Thermador Groupe S.A. 792.4 million 2.78% 17.29 1 27 2%
002392.SZ BEIJING LIER HIGH- 792.1 million 0.02% 13.24 - 2 -
6332.T Tsukishima Kikai Co., Ltd. 791.6 million 2.50% 7.81 2 26 30%
ADSEW ADS-TEC Energy PLC 791.2 million 0.00% - - - -
7976.T Mitsubishi Pencil Co., Ltd. 790.8 million 1.07% 11.37 2 26 18%
300875.SZ Tianjin Jieqiang Power Equipment Co.,Ltd. 790.0 million 0.00% -18.28 - - -
BPOSY BPOST SA UNSP ADR EACH REP 1 OR 790.0 million 0.03% 11.29 1 3 -
SB Safe Bulkers, Inc. 789.2 million 2.71% 10.14 4 5 13%
603333.SS Sunway Co., Ltd. 788.8 million 0.11% -220 1 2 -
9010.T Fuji Kyuko Co., Ltd. 788.6 million 1.23% 23.78 1 26 29%
002573.SZ BEIJING SPC ENVIRO 788.2 million 0.03% -75.80 - 13 2%
9090.T AZ-COM Maruwa Holdings Inc. 788.0 million 3.43% 15.49 2 13 14%
PRAJIND.NS Praj Industries Limited 787.7 million 0.00% 143.02 1 24 30%
7483.T Doshisha Co.,Ltd. 787.0 million 2.69% 16.26 2 26 24%
TCI.NS Transport Corporation of India Limited 787.0 million 0.92% 16.79 2 25 20%
605378.SS Zhejiang MustangBattery Co.,Ltd 786.8 million 2.46% 119.41 1 6 29%
CK-R.BK CH. Karnchang Public Company Limited 785.9 million 2.26% 9.63 2 19 -7%
8051.T Yamazen Corporation 782.6 million 3.47% 14.60 2 26 18%
002641.SZ Era Co., Ltd. 781.7 million 1.15% 54.13 1 15 -
KIERF KIER GROUP PLC 781.3 million 0.01% 15.91 - 1 -
OLECTRA.NS Olectra Greentech Limited 780.7 million 0.04% 52.24 1 4 -
278A.T TERRA DRONE CORPORATION 780.6 million 0.00% - - - -
603106.SS Cashway Fintech Co.,Ltd. 780.4 million 0.30% 56.17 1 2 -
MBK.BK MBK Public Company Limited 780.1 million 6.49% 7.77 2 5 5%
601002.SS Gem-Year Industrial Co.,Ltd. 779.9 million 1.81% 23.96 1 4 -
5186.T Nitta Corporation 779.9 million 1.59% 10.67 2 26 16%
002367.SZ CANNY ELEVATOR CO 779.8 million 0.05% 17.30 - 15 -8%
HAYN Haynes International, Inc. 779.8 million 1.44% 21.03 4 16 -
9699.T Nishio Rent All Co., Ltd. 779.0 million 2.93% 10.25 1 21 10%
603081.SS Zhejiang Dafeng Industry Co., Ltd 778.8 million 1.05% 49.72 1 9 -
GVS.MI GVS S.p.A. 778.7 million 0.00% 27.73 - - -
TKUMF Takuma Co., Ltd. 778.6 million 3.90% 12.41 3 4 -
PO0.F Ballard Power Systems Inc. 777.0 million 0.00% - - - -
300441.SZ NINGBO BAOSI ENERG 776.9 million 0.03% 6.56 - 4 -
0HDQ.L Synergie SE 775.2 million 1.89% 0.09 1 2 -
WABAG.BO VA Tech Wabag Limited 774.3 million 0.34% 21.90 1 2 -
PKE Park Aerospace Corp. 774.1 million 1.40% 54.35 4 42 6%
002801.SZ HANGZHOU WEIGUANG 773.9 million 0.01% 38.86 - 9 -17%
ARMX.AE Aramex PJSC 773.4 million 0.00% 194 - - -
7161.KL Kerjaya Prospek Group Bhd 772.4 million 5.58% 15.69 4 14 30%
603912.SS Nanjing Canatal Data-Centre Environmental Tech Co., Ltd 772.2 million 0.83% -320.33 - 8 -17%
ONT Onterris, Inc. 771.5 million - - - - -
2040.SR Saudi Ceramic Co. 771.4 million 0.00% - - - -
HSHP Himalaya Shipping Ltd. 770.3 million 0.00% 14.21 12 3 -
PON1V.HE Ponsse Oyj 770.3 million 2.35% 25.32 1 27 -6%
BLDP Ballard Power Systems Inc. 768.8 million 0.00% - - - -
XONE BondBloxx Bloomberg One Year Target Duration US Treasury ETF 768.8 million 4.03% -28.13 12 5 -
SALFACORP.SN SalfaCorp S.A. 768.3 million 1723.98% 16.12 1 16 0%
6235.T Optorun Co.,Ltd. 768.2 million 1.76% 41.30 2 10 2%
300545.SZ SHENZHEN LIANDE AU 768.1 million 0.01% 21.82 - 8 17%
ALII.JK Ancara Logistics Indonesia Tbk 767.9 million 0.52% 45.50 1 2 -
3703.TW CONTINENTAL HLDGS CORP 767.4 million 0.00% 13.95 - 9 15%
KIRLFER.NS Kirloskar Ferrous Industries Limited 767.4 million 1.33% 18.57 2 4 -
KRNT Kornit Digital Ltd. 767.0 million 0.00% - - - -
TCI.BO Transport Corporation of India Limited 766.9 million 0.94% 16.38 2 25 20%
5310.T Toyo Tanso Co., Ltd. 766.2 million 2.49% 22.32 1 21 27%
JEN.BR Jensen-Group N.V. 765.9 million 2.16% 13.09 1 22 14%
VAMO3.SA Vamos Locação de Caminhões, Máquinas e Equipamentos S.A. 764.5 million 3.95% 9.56 1 5 -22%
600526.SS Zhejiang Feida Environmental Science & Technology Co., Ltd. 764.4 million 1.72% 18.71 1 2 -
002272.SZ SICHUAN CRUN CO LT 762.6 million 0.01% -51.37 - 1 -
0737.HK Shenzhen Investment Holdings Bay Area Development Company Limited 761.9 million 8.26% 11.41 3 23 0%
300729.SZ LOCTEK ERGONOMIC T 761.3 million 0.02% 12.43 - 7 28%
HHR HeadHunter Group PLC 761.1 million 5.59% 9.05 - 4 -
BBSI Barrett Business Services, Inc. 760.7 million 0.99% 23.43 4 21 2%
MMGR-B.ST Momentum Group AB (publ) 760.7 million 0.94% 37.11 1 4 -
SATLW Satellogic Inc. 759.8 million 0.00% - - - -
SNTIA.OL Sentia ASA 759.6 million 15.40% 15.80 1 1 -
TPLKF PVA TePla AG 758.7 million 0.00% - - - -
2GB.DE 2G Energy AG 758.5 million 0.55% 26.49 - 15 -7%
002116.SZ China Haisum Engineering Co., Ltd. 757.8 million 2.77% 14.31 1 20 30%
5911.T Yokogawa Bridge Holdings Corp. 757.7 million 3.76% 10.03 2 26 20%
KELYB Kelly Services, Inc. 757.1 million 1.50% 32.31 4 13 29%
0062.HK Transport International Holdings Limited 756.1 million 7.21% 22.20 2 27 1%
DSPW.PR Doosan Skoda Power a.s. 756.0 million 0.00% 30.15 1 2 -
DIACABS.BO Diamond Power Infrastructure Limited 755.3 million 0.00% 68.74 - - -
CODI-PC Compass Diversified 754.9 million 0.00% 25.49 4 7 9%
002162.SZ Everjoy Health Group Co., Ltd. 754.2 million 0.00% -46.08 - - -
300833.SZ GUANGZHOU HAOYANG 753.9 million 0.04% 16.21 - 4 -
600843.SS Shang Gong Group Co., Ltd. 753.6 million 0.46% -38.68 - - -
000010.SZ Shenzhen Ecobeauty Co., Ltd. 753.6 million 0.00% 110.50 - - -
000404.SZ Changhong Huayi Compressor Co., Ltd. 752.4 million 4.12% 11.05 1 13 -
000905.SZ XIAMEN PORT DEV 751.4 million 0.02% 25.30 - 20 30%
002137.SZ Shenzhen Sea Star Technology Co., Ltd. 750.2 million 0.00% -292 1 1 -
301058.SZ COFCO TECHNOLOGY & 749.8 million 0.02% 22.43 - 3 -
CYRX Cryoport, Inc. 749.6 million 0.00% - - - -
6946.T Nippon Avionics Co., Ltd. 749.2 million 0.07% 49.39 1 4 -
300179.SZ SF DIAMOND CO 748.4 million 0.26% 41.92 - 1 -
600881.SS Jilin Yatai (Group) Co., Ltd. 747.7 million 0.00% - - - -