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Air Products And Chemicals Inc   (APD)
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Customers by APD's Divisions

(Most recent Quarter in Millions of $)



COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Air Products And Chemicals Inc APD Tonnage Gases 0.0 0.0 -
Ciena Corp CIEN Total 942.3 14.2 1.51 %
3m Company MMM Industrial & Transportation 2,575.0 580.0 22.52 %
Alcoa Corp AA Primary Metals 1,249.0 -59.0 -
Alcoa Corp AA Flat-Rolled Products 1,527.0 62.0 4.06 %
Alcoa Corp AA Engineered Products 1,397.0 151.0 10.81 %
Ati Inc ATI FlatRolled Products 358.0 -91.8 -
Ati Inc ATI High Performance Metals 474.7 18.8 3.96 %
Abbott Laboratories ABT Total 10,377.0 1,302.0 12.55 %
Amdocs Limited DOX Total 4,887.6 543.0 11.11 %
The Aes Corporation AES Contract Generation 2,367.0 367.0 15.5 %
Ameren Corporation AEE Total Electric 1,705.0 0.0 -
American Electric Power Co Inc AEP Utility Ops. 3,600.0 388.0 10.78 %
Amgen Inc AMGN Total 8,388.0 746.0 8.89 %
Biogen Inc BIIB Total 2,464.9 583.6 23.68 %
The Boeing Company BA Network Systems 2,127.0 245.0 11.52 %
Bristol myers Squibb Company BMY Total 12,201.0 1,684.0 13.8 %
Cms energy Corporation CMS Electric utility 1,233.0 166.0 13.46 %
Constellation Energy Corporation CEG Merchant 2,488.9 64.4 2.59 %
Corning Inc GLW Telecommunications 800.0 77.0 9.63 %
Dominion Energy Inc D Generation 1,920.0 391.0 20.36 %
Dover Corp DOV Total Industrial Products 459.9 64.5 14.02 %
Dte Energy Co DTE Electric Utility 1,203.0 136.0 11.31 %
Duke Energy Corporation DUK Franchised Electric 6,138.0 905.0 14.74 %
Duke Energy Corporation DUK International Energy 66.0 -3.0 -
Dupont De Nemours Inc DD Performance Materials 831.0 317.0 38.15 %
Dupont De Nemours Inc DD Safety & Protection 156.0 156.0 100 %
Empire Petroleum Corporation EP Power 202.0 2.0 0.99 %
Eli Lilly And Company LLY Total 11,302.8 2,967.0 26.25 %
Entergy Corporation ETR Total 2,953.6 51.7 1.75 %
Exelon Corporation EXC Generation 4,412.0 849.0 19.24 %
Freeport mcmoran Inc FCX Mining & Exploration 2,838.0 531.0 18.71 %
Freeport mcmoran Inc FCX Smelting & Refining 1,615.0 16.0 0.99 %
General Dynamics Corporation GD Information Systems Technology 2,370.0 217.0 9.16 %
Gilead Sciences Inc GILD Total 6,954.0 1,614.0 23.21 %
Halliburton Company HAL Completion & Production 3,200.0 163.0 5.09 %
Honeywell International Inc HON Specialty Materials 2,220.0 461.0 20.77 %
Illinois Tool Works Inc ITW Transportation 649.0 159.0 24.5 %
International Business Machines Corporation IBM Hardware 1,492.0 -24.0 -
Johnson and Johnson JNJ Total Pharmaceutical 7,946.0 4,543.0 57.17 %
Juniper Networks Inc JNPR Infrastructure 925.4 0.0 -
Merck and Co Inc MRK Total 16,112.0 5,461.0 33.89 %
Nov Inc NOV Rig Technology 3,009.0 635.0 21.1 %
Cleveland cliffs Inc CLF Total 5,092.0 9.0 0.18 %
Nucor Corporation NUE Steel products 1,081.0 96.2 8.9 %
Pfizer Inc PFE Total 13,283.0 48.0 0.36 %
Ppl Corporation PPL International 552.0 249.0 45.11 %
Public Service Enterprise Group Incorporated PEG Power 1,766.0 222.0 12.57 %
Public Service Enterprise Group Incorporated PEG Global 120.0 11.0 9.17 %
Sempra SRE Sempra Generation 356.0 77.0 21.63 %
Tenet Healthcare Corp THC Total 5,103.0 477.0 9.35 %
Texas Instruments Incorporated TXN Total 3,822.0 1,127.0 29.49 %
Textron Inc TXT Defense & Intelligence 420.0 39.0 9.29 %
Te Connectivity Ltd TEL Network Solutions 684.0 51.0 7.46 %
United States Steel Corp X Total 4,118.0 183.0 4.44 %
Worthington Industries Inc WOR Processed Steel Products 490.8 23.6 4.82 %
Xcel Energy Inc XEL Electric Utility 2,667.5 438.0 16.42 %
Wec Energy Group Inc WEC Total Utility 1,442.3 256.6 17.79 %
Davita Inc DVA Total 3,186.7 299.8 9.41 %
Amphenol Corporation APH Cable Products 81.4 10.2 12.53 %
Diamond Offshore Drilling Inc DO Jackups 16.7 4.2 24.99 %
Nu Holdings Ltd NU Electric 1,313.1 216.0 16.45 %
Technipfmc Plc FTI Total Energy Systems 1,454.7 148.2 10.19 %
Freeport mcmoran Inc FCX Copper 1,548.0 0.0 -
Constellation Energy Corporation CEG Generation 311.4 30.1 9.67 %
Nrg Energy Inc NRG Wholesale Power Generation 2,502.0 446.0 17.83 %
Berkshire Hathaway Inc BRKA Marmon 1,680.0 290.0 17.26 %
Adtran Holdings Inc ADTN Total 272.2 -75.6 -
Entergy Corporation ETR Electric Utility 2,246.1 0.0 -
Entergy Corporation ETR Wholesale 439.3 -3.5 -
American Electric Power Co Inc AEP Generation and Marketing 802.0 91.0 11.35 %
Steel Dynamics Inc STLD Steel fabrication 173.0 36.7 21.23 %
Century Aluminum Company CENX Total 560.4 -6.7 -
Intel Corporation INTC Data Center Group 4,140.0 2,127.0 51.38 %
Enact Holdings Inc ACT Total 298.8 183.7 61.46 %
Pentair Plc PNR Technical Solutions 432.3 101.0 23.36 %
Abbvie Inc ABBV Total 14,462.0 1,373.0 9.49 %
Nov Inc NOV Rig Systems 1,496.0 253.0 16.91 %
Nov Inc NOV Completion & Production Solutions 798.0 3.0 0.38 %
Nrg Energy Inc NRG NRG Business 2,723.0 165.0 6.06 %
Nrg Energy Inc NRG NRG Yield 209.0 42.0 20.1 %
Advanced Micro Devices Inc AMD Enterprise Embedded & SemiCustom  637.0 84.0 13.19 %
Baker Hughes Company BKR Total 7,139.0 581.0 8.14 %
Eversource Energy ES Electric 1,543.7 318.4 20.63 %
Preformed Line Products Company PLPC Total 160.1 15.1 9.46 %
Optical Cable Corporation OCC Total 16.0 -1.6 -
Belden Inc BDC Total 604.3 49.0 8.11 %
Commscope Holding Company Inc COMM Total 1,599.2 -828.7 -
Kaman Corporation KAMN Total 203.1 1.2 0.61 %
Oil dri Corporation Of America ODC Total 106.1 7.8 7.33 %
Avid Technology Inc AVID Total 91.0 -7.3 -
AKTS Total 7.5 -23.3 -
Richardson Electronics Ltd RELL Total 52.3 1.2 2.35 %
Novelis Inc NVLCN Total 4,187.0 150.0 3.58 %
Remitly Global Inc RELY Total 306.4 -12.1 -
Arconic Corporation ARNC Total 1,990.0 59.0 2.96 %
Haynes International inc HAYN Total 153.5 8.1 5.29 %
Gibraltar Industries Inc ROCK Total 353.0 32.2 9.12 %
Insteel Industries Inc IIIN Total 126.7 6.9 5.48 %
Timkensteel Corporation TMST Total 354.0 24.8 7.01 %
Universal Stainless and Alloy Products Inc USAP Total 82.0 8.9 10.81 %
Intrepid Potash inc IPI Total 8.6 -0.8 -
Mdu Resources Group Inc MDU Total 1,047.5 60.4 5.77 %
Martin Marietta Materials Inc MLM Total 1,994.0 416.6 20.89 %
United States Lime and Minerals Inc USLM Total 75.8 26.1 34.37 %
Coeur Mining Inc CDE Total 222.0 1.4 0.64 %
Contango Ore Inc CTGO Total -2.7 -13.1 -
Dynaresource Inc DYNR Total 6.1 -6.0 -
Gold Resource Corporation GORO Total 20.4 -27.7 -
Hecla Mining Company HL Total 181.5 -22.4 -
Hammer Fiber Optics Holdings Corp HMMR Total 0.8 -0.5 -
Comstock Inc LODE Total 0.4 -8.7 -
Mcewen Mining Inc MUX Total 47.5 -13.0 -
National Grid Plc NG Total 19,850.0 2,291.0 11.54 %
Royal Gold Inc RGLD Total 174.1 81.3 46.71 %
Ree Automotive Ltd REE Total 1.3 -114.2 -
Southern Copper Corp SCCO Total 3,118.3 953.8 30.59 %
Tuanche Ltd TC Total 22.9 -11.7 -
Verde Resources Inc VRDR Total 0.0 -0.9 -
Solitario Resources Corp XPL Total 0.1 -0.8 -
The Chemours Company CC Total 1,487.0 20.0 1.34 %
Huntsman Corporation HUN Total 1,574.0 38.0 2.41 %
Kronos Worldwide inc KRO Total 500.2 19.5 3.9 %
Quaker Chemical Corporation KWR Total 462.7 34.9 7.54 %
Nl Industries inc NL Total 35.2 8.5 24.04 %
Tronox Holdings Plc TROX Total 820.0 10.0 1.22 %
Valhi inc VHI Total 559.7 29.7 5.31 %
Westlake Corporation WLK Total 3,207.0 323.0 10.07 %
Westlake Chemical Partners Lp WLKP Total 284.2 88.0 30.98 %
Dmc Global Inc BOOM Total 170.4 6.3 3.69 %
Forum Energy Technologies Inc FET Total 205.1 -6.7 -
Kaiser Aluminum Corporation KALU Total 743.6 5.4 0.73 %
Liquidmetal Technologies Inc LQMT Total 0.2 -0.3 -
Mueller Industries Inc MLI Total 997.7 163.4 16.38 %
Materion Corporation MTRN Total 425.9 19.0 4.47 %
Nn Inc NNBR Total 123.0 -2.2 -
Oil States International Inc OIS Total 186.4 1.3 0.7 %
Ryerson Holding Corporation RYI Total 1,246.3 35.3 2.83 %
Encore Wire Corp WIRE Total 632.0 63.3 10.01 %
Core Laboratories Inc CLB Total 125.3 9.2 7.36 %
Leonardo Drs Inc DRS Total 753.0 38.0 5.05 %
Rpc inc RES Total 364.2 32.4 8.9 %
Ambarella Inc AMBA Total 50.0 -41.7 -
Fresenius Medical Care Ag FMS Total 21,788.1 820.4 3.77 %
Broadcom Inc AVGO Total 12,487.0 2,121.0 16.99 %
Marvell Technology Inc MRVL Total 1,272.6 -47.1 -
Macom Technology Solutions Holdings Inc MTSI Total 190.5 19.9 10.47 %
Maxlinear Inc MXL Total 91.2 -39.3 -
Qorvo Inc QRVO Total 886.7 1.1 0.13 %
Skyworks Solutions Inc SWKS Total 905.1 120.9 13.36 %
Viavi Solutions Inc VIAV Total 252.6 -21.7 -
Amplitech Group Inc AMPG Total 2.3 -4.7 -
Calamp Corp CAMP Total 61.3 -4.2 -
Clearfield Inc CLFD Total 48.7 -0.4 -
Comtech Telecommunications Corp CMTL Total 128.1 2.7 2.12 %
Harmonic Inc HLIT Total 138.5 -12.5 -
Infinera Corporation INFN Total 342.6 -48.3 -
Kvh Industries Inc KVHI Total 28.7 -2.4 -
Lumentum Holdings Inc LITE Total 287.3 -125.0 -
Netgear Inc NTGR Total 196.9 -84.8 -
Technical Communications Corporation TCCO Total 0.0 -0.5 -
Alpine 4 Holdings Inc ALPP Total 25.4 -41.0 -
Arcelormittal MT Total 68,275.0 1,022.0 1.5 %
Okta Inc OKTA Total 646.0 29.0 4.49 %
Cyberark Software Ltd CYBR Total 751.9 -66.5 -
Nxp Semiconductors N v NXPI Total 3,127.0 664.0 21.23 %
Synaptics Incorporated SYNA Total 237.1 -55.6 -
Audiocodes ltd AUDC Total 244.4 8.8 3.59 %
Digi International Inc DGII Total 105.2 9.7 9.22 %
Silicom Ltd SILC Total 124.1 -26.4 -
Cambium Networks Corp CMBM Total 43.0 -26.2 -
Casa Systems Inc CASA Total 61.9 -25.6 -
Bk Technologies Corporation BKTI Total 20.3 1.7 8.22 %
R F Industries Ltd RFIL Total 15.8 -4.3 -
APROX. MARKET   SUBTOTAL 396,500 44,659 11.26 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Air Products And Chemicals Inc APD Merchant Gases 1,085.6 185.5 17.09 %
3m Company MMM Industrial & Transportation 2,575.0 580.0 22.52 %
Alcoa Corp AA Primary Metals 1,249.0 -59.0 -
Alcoa Corp AA Flat-Rolled Products 1,527.0 62.0 4.06 %
Alcoa Corp AA Engineered Products 1,397.0 151.0 10.81 %
Ati Inc ATI FlatRolled Products 358.0 -91.8 -
Ati Inc ATI High Performance Metals 474.7 18.8 3.96 %
Abbott Laboratories ABT Total 10,377.0 1,302.0 12.55 %
Amdocs Limited DOX Total 4,887.6 543.0 11.11 %
The Aes Corporation AES Contract Generation 2,367.0 367.0 15.5 %
Ameren Corporation AEE Total Electric 1,705.0 0.0 -
American Electric Power Co Inc AEP Utility Ops. 3,600.0 388.0 10.78 %
Amgen Inc AMGN Total 8,388.0 746.0 8.89 %
Biogen Inc BIIB Total 2,464.9 583.6 23.68 %
Bristol myers Squibb Company BMY Total 12,201.0 1,684.0 13.8 %
Cms energy Corporation CMS Electric utility 1,233.0 166.0 13.46 %
Constellation Energy Corporation CEG Merchant 2,488.9 64.4 2.59 %
Corning Inc GLW Telecommunications 800.0 77.0 9.63 %
Dominion Energy Inc D Generation 1,920.0 391.0 20.36 %
Dover Corp DOV Total Industrial Products 459.9 64.5 14.02 %
Dte Energy Co DTE Electric Utility 1,203.0 136.0 11.31 %
Duke Energy Corporation DUK Franchised Electric 6,138.0 905.0 14.74 %
Duke Energy Corporation DUK International Energy 66.0 -3.0 -
Dupont De Nemours Inc DD Performance Materials 831.0 317.0 38.15 %
Dupont De Nemours Inc DD Safety & Protection 156.0 156.0 100 %
Empire Petroleum Corporation EP Power 202.0 2.0 0.99 %
Eli Lilly And Company LLY Total 11,302.8 2,967.0 26.25 %
Entergy Corporation ETR Total 2,953.6 51.7 1.75 %
Exelon Corporation EXC Generation 4,412.0 849.0 19.24 %
Freeport mcmoran Inc FCX Mining & Exploration 2,838.0 531.0 18.71 %
Freeport mcmoran Inc FCX Smelting & Refining 1,615.0 16.0 0.99 %
General Dynamics Corporation GD Information Systems Technology 2,370.0 217.0 9.16 %
Gilead Sciences Inc GILD Total 6,954.0 1,614.0 23.21 %
Halliburton Company HAL Completion & Production 3,200.0 163.0 5.09 %
Illinois Tool Works Inc ITW Transportation 649.0 159.0 24.5 %
International Business Machines Corporation IBM Hardware 1,492.0 -24.0 -
Johnson and Johnson JNJ Total Pharmaceutical 7,946.0 4,543.0 57.17 %
Juniper Networks Inc JNPR Infrastructure 925.4 0.0 -
Merck and Co Inc MRK Total 16,112.0 5,461.0 33.89 %
Nov Inc NOV Rig Technology 3,009.0 635.0 21.1 %
Nucor Corporation NUE Steel products 1,081.0 96.2 8.9 %
Pfizer Inc PFE Total 13,283.0 48.0 0.36 %
Cleveland cliffs Inc CLF Total 5,092.0 9.0 0.18 %
Ppl Corporation PPL International 552.0 249.0 45.11 %
Public Service Enterprise Group Incorporated PEG Power 1,766.0 222.0 12.57 %
Public Service Enterprise Group Incorporated PEG Global 120.0 11.0 9.17 %
Sempra SRE Sempra Generation 356.0 77.0 21.63 %
Tenet Healthcare Corp THC Total 5,103.0 477.0 9.35 %
Texas Instruments Incorporated TXN Total 3,822.0 1,127.0 29.49 %
Te Connectivity Ltd TEL Network Solutions 684.0 51.0 7.46 %
United States Steel Corp X Total 4,118.0 183.0 4.44 %
Worthington Industries Inc WOR Processed Steel Products 490.8 23.6 4.82 %
Xcel Energy Inc XEL Electric Utility 2,667.5 438.0 16.42 %
Wec Energy Group Inc WEC Total Utility 1,442.3 256.6 17.79 %
Davita Inc DVA Total 3,186.7 299.8 9.41 %
Amphenol Corporation APH Cable Products 81.4 10.2 12.53 %
Ciena Corp CIEN Total 942.3 14.2 1.51 %
Diamond Offshore Drilling Inc DO Jackups 16.7 4.2 24.99 %
Nu Holdings Ltd NU Electric 1,313.1 216.0 16.45 %
Technipfmc Plc FTI Total Energy Systems 1,454.7 148.2 10.19 %
Freeport mcmoran Inc FCX Copper 1,548.0 0.0 -
Constellation Energy Corporation CEG Generation 311.4 30.1 9.67 %
Nrg Energy Inc NRG Wholesale Power Generation 2,502.0 446.0 17.83 %
Berkshire Hathaway Inc BRKA Marmon 1,680.0 290.0 17.26 %
Entergy Corporation ETR Electric Utility 2,246.1 0.0 -
Entergy Corporation ETR Wholesale 439.3 -3.5 -
American Electric Power Co Inc AEP Generation and Marketing 802.0 91.0 11.35 %
Steel Dynamics Inc STLD Steel fabrication 173.0 36.7 21.23 %
Century Aluminum Company CENX Total 560.4 -6.7 -
Intel Corporation INTC Data Center Group 4,140.0 2,127.0 51.38 %
Enact Holdings Inc ACT Total 298.8 183.7 61.46 %
Pentair Plc PNR Technical Solutions 432.3 101.0 23.36 %
Abbvie Inc ABBV Total 14,462.0 1,373.0 9.49 %
Honeywell International Inc HON Specialty Materials 2,220.0 461.0 20.77 %
Nov Inc NOV Rig Systems 1,496.0 253.0 16.91 %
Nov Inc NOV Completion & Production Solutions 798.0 3.0 0.38 %
Nrg Energy Inc NRG NRG Business 2,723.0 165.0 6.06 %
Nrg Energy Inc NRG NRG Yield 209.0 42.0 20.1 %
Advanced Micro Devices Inc AMD Enterprise Embedded & SemiCustom  637.0 84.0 13.19 %
Baker Hughes Company BKR Total 7,139.0 581.0 8.14 %
Eversource Energy ES Electric 1,543.7 318.4 20.63 %
Preformed Line Products Company PLPC Total 160.1 15.1 9.46 %
Optical Cable Corporation OCC Total 16.0 -1.6 -
Belden Inc BDC Total 604.3 49.0 8.11 %
Commscope Holding Company Inc COMM Total 1,599.2 -828.7 -
Kaman Corporation KAMN Total 203.1 1.2 0.61 %
Oil dri Corporation Of America ODC Total 106.1 7.8 7.33 %
Avid Technology Inc AVID Total 91.0 -7.3 -
AKTS Total 7.5 -23.3 -
Richardson Electronics Ltd RELL Total 52.3 1.2 2.35 %
Novelis Inc NVLCN Total 4,187.0 150.0 3.58 %
Remitly Global Inc RELY Total 306.4 -12.1 -
Arconic Corporation ARNC Total 1,990.0 59.0 2.96 %
Haynes International inc HAYN Total 153.5 8.1 5.29 %
Gibraltar Industries Inc ROCK Total 353.0 32.2 9.12 %
Insteel Industries Inc IIIN Total 126.7 6.9 5.48 %
Timkensteel Corporation TMST Total 354.0 24.8 7.01 %
Universal Stainless and Alloy Products Inc USAP Total 82.0 8.9 10.81 %
Intrepid Potash inc IPI Total 8.6 -0.8 -
Mdu Resources Group Inc MDU Total 1,047.5 60.4 5.77 %
Martin Marietta Materials Inc MLM Total 1,994.0 416.6 20.89 %
United States Lime and Minerals Inc USLM Total 75.8 26.1 34.37 %
Coeur Mining Inc CDE Total 222.0 1.4 0.64 %
Contango Ore Inc CTGO Total -2.7 -13.1 -
Dynaresource Inc DYNR Total 6.1 -6.0 -
Gold Resource Corporation GORO Total 20.4 -27.7 -
Hecla Mining Company HL Total 181.5 -22.4 -
Hammer Fiber Optics Holdings Corp HMMR Total 0.8 -0.5 -
Comstock Inc LODE Total 0.4 -8.7 -
Mcewen Mining Inc MUX Total 47.5 -13.0 -
National Grid Plc NG Total 19,850.0 2,291.0 11.54 %
Royal Gold Inc RGLD Total 174.1 81.3 46.71 %
Ree Automotive Ltd REE Total 1.3 -114.2 -
Southern Copper Corp SCCO Total 3,118.3 953.8 30.59 %
Tuanche Ltd TC Total 22.9 -11.7 -
Verde Resources Inc VRDR Total 0.0 -0.9 -
Solitario Resources Corp XPL Total 0.1 -0.8 -
The Chemours Company CC Total 1,487.0 20.0 1.34 %
Huntsman Corporation HUN Total 1,574.0 38.0 2.41 %
Kronos Worldwide inc KRO Total 500.2 19.5 3.9 %
Quaker Chemical Corporation KWR Total 462.7 34.9 7.54 %
Nl Industries inc NL Total 35.2 8.5 24.04 %
Tronox Holdings Plc TROX Total 820.0 10.0 1.22 %
Valhi inc VHI Total 559.7 29.7 5.31 %
Westlake Corporation WLK Total 3,207.0 323.0 10.07 %
Westlake Chemical Partners Lp WLKP Total 284.2 88.0 30.98 %
Dmc Global Inc BOOM Total 170.4 6.3 3.69 %
Forum Energy Technologies Inc FET Total 205.1 -6.7 -
Kaiser Aluminum Corporation KALU Total 743.6 5.4 0.73 %
Liquidmetal Technologies Inc LQMT Total 0.2 -0.3 -
Mueller Industries Inc MLI Total 997.7 163.4 16.38 %
Materion Corporation MTRN Total 425.9 19.0 4.47 %
Nn Inc NNBR Total 123.0 -2.2 -
Oil States International Inc OIS Total 186.4 1.3 0.7 %
Ryerson Holding Corporation RYI Total 1,246.3 35.3 2.83 %
Encore Wire Corp WIRE Total 632.0 63.3 10.01 %
Core Laboratories Inc CLB Total 125.3 9.2 7.36 %
Rpc inc RES Total 364.2 32.4 8.9 %
Ambarella Inc AMBA Total 50.0 -41.7 -
Fresenius Medical Care Ag FMS Total 21,788.1 820.4 3.77 %
Broadcom Inc AVGO Total 12,487.0 2,121.0 16.99 %
Marvell Technology Inc MRVL Total 1,272.6 -47.1 -
Macom Technology Solutions Holdings Inc MTSI Total 190.5 19.9 10.47 %
Maxlinear Inc MXL Total 91.2 -39.3 -
Qorvo Inc QRVO Total 886.7 1.1 0.13 %
Skyworks Solutions Inc SWKS Total 905.1 120.9 13.36 %
Adtran Holdings Inc ADTN Total 272.2 -75.6 -
Viavi Solutions Inc VIAV Total 252.6 -21.7 -
Amplitech Group Inc AMPG Total 2.3 -4.7 -
Calamp Corp CAMP Total 61.3 -4.2 -
Clearfield Inc CLFD Total 48.7 -0.4 -
Comtech Telecommunications Corp CMTL Total 128.1 2.7 2.12 %
Harmonic Inc HLIT Total 138.5 -12.5 -
Infinera Corporation INFN Total 342.6 -48.3 -
Kvh Industries Inc KVHI Total 28.7 -2.4 -
Lumentum Holdings Inc LITE Total 287.3 -125.0 -
Netgear Inc NTGR Total 196.9 -84.8 -
Technical Communications Corporation TCCO Total 0.0 -0.5 -
Alpine 4 Holdings Inc ALPP Total 25.4 -41.0 -
Arcelormittal MT Total 68,275.0 1,022.0 1.5 %
Okta Inc OKTA Total 646.0 29.0 4.49 %
Cyberark Software Ltd CYBR Total 751.9 -66.5 -
Nxp Semiconductors N v NXPI Total 3,127.0 664.0 21.23 %
Synaptics Incorporated SYNA Total 237.1 -55.6 -
Audiocodes ltd AUDC Total 244.4 8.8 3.59 %
Digi International Inc DGII Total 105.2 9.7 9.22 %
Silicom Ltd SILC Total 124.1 -26.4 -
Cambium Networks Corp CMBM Total 43.0 -26.2 -
Casa Systems Inc CASA Total 61.9 -25.6 -
Bk Technologies Corporation BKTI Total 20.3 1.7 8.22 %
R F Industries Ltd RFIL Total 15.8 -4.3 -
APROX. MARKET   SUBTOTAL 393,200 44,337 11.28 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Air Products And Chemicals Inc APD Equipment 125.4 27.4 21.85 %
3m Company MMM Health Care 1,346.0 432.0 32.1 %
Alcoa Corp AA Alumina & Chemicals 926.0 186.0 20.09 %
Conocophillips COP Midstream 2,280.0 118.0 5.18 %
Conocophillips COP R & M 45,607.0 1,714.0 3.76 %
Conocophillips COP Chemicals & corporate 3.0 156.0 5200 %
Devon Energy Corp DVN Marketing & midstream 422.0 0.0 -
Dow Inc DOW Performance Chemicals 3,142.0 540.0 17.19 %
Dte Energy Co DTE Gas Utility 647.0 111.0 17.16 %
Dupont De Nemours Inc DD Agriculture & Nutrition 3,828.0 1,136.0 29.68 %
Dupont De Nemours Inc DD Coatings & Color Technologies 1,302.0 102.0 7.83 %
Dupont De Nemours Inc DD Performance Materials 831.0 317.0 38.15 %
Eastman Chemical Co EMN CASPI Segment 486.0 114.0 23.46 %
Eastman Chemical Co EMN PCI Segment 732.0 104.0 14.21 %
Eastman Chemical Co EMN Fibers 320.0 102.0 31.88 %
Empire Petroleum Corporation EP Marketing & Trading 251.0 -16.0 -
Williams companies inc WMB Williams Partners 1,792.0 1,021.0 56.98 %
Exxon Mobil Corporation XOM Downstream 52,770.0 2,033.0 3.85 %
Exxon Mobil Corporation XOM Chemical 7,032.0 1,227.0 17.45 %
Gevo inc GEVO Total 5.3 -21.0 -
Lyondellbasell Industries N v LYB Total O&P 4,712.0 1,390.0 29.5 %
Marathon Oil Corporation MRO Refineing & transport 17,841.0 527.0 2.95 %
Occidental Petroleum Corporation OXY Oil & Gas 2,054.0 2,054.0 100 %
Occidental Petroleum Corporation OXY Chemical 1,008.0 231.0 22.92 %
Ppg Industries Inc PPG Coatings 3,594.0 620.0 17.25 %
P10 Inc PX Total 57.1 -8.8 -
Sunoco Lp SUN Refining & Supply 4,633.0 87.0 1.88 %
United States Steel Corp X Total 4,118.0 183.0 4.44 %
Valero Energy Corp VLO Refining 20,529.0 1,641.0 7.99 %
Williams companies inc WMB Midstream Gas & Liquids 59.0 -2.0 -
Williams companies inc WMB Total 2,336.0 426.0 18.24 %
Willdan Group inc WLDN Total 140.8 4.6 3.26 %
Dupont De Nemours Inc DD Electronic & Communication Technologies 532.0 5.0 0.94 %
Dupont De Nemours Inc DD Safety & Protection 156.0 156.0 100 %
Newell Brands Inc NWL Home & Family 628.3 70.7 11.25 %
Mattel Inc MAT Total Domestic 1,069.1 230.2 21.53 %
Mattel Inc MAT International 798.6 142.6 17.85 %
Hasbro Inc HAS International 362.8 25.4 6.99 %
Honeywell International Inc HON Specialty Materials 2,220.0 461.0 20.77 %
Honeywell International Inc HON Aerospace 3,820.0 833.0 21.81 %
Chevron Corp CVX Refining, Marketing & Transportation 31,689.0 2,956.0 9.33 %
3m Company MMM Industrial & Transportation 2,575.0 580.0 22.52 %
Illinois Tool Works Inc ITW Transportation 649.0 159.0 24.5 %
Eqt Corporation EQT Midstream 198.6 113.0 56.91 %
Occidental Petroleum Corporation OXY Midstream & marketing 231.0 -177.0 -
General Electric Company GE Aviation 6,001.0 1,353.0 22.55 %
Southwestern Energy Company SWN Midstream Services 258.0 68.0 26.36 %
Fluor Corporation FLR Industrial & Infrastructure 1,080.0 58.3 5.4 %
Dover Corp DOV Total Industrial Products 459.9 64.5 14.02 %
Ashland Inc ASH Performance Materials 278.0 13.0 4.68 %
Corning Inc GLW Display technologies 789.0 303.0 38.4 %
3m Company MMM Display & Graphics 910.0 152.0 16.7 %
Hasbro Inc HAS North America 385.2 47.1 12.24 %
Hess Corporation HES Refining marketing & shipping 148.0 16.0 10.81 %
Eaton Corporation Plc ETN Aerospace 449.0 79.0 17.59 %
Applied Materials Inc AMAT Display 151.0 25.0 16.56 %
Nu Holdings Ltd NU Gas 269.8 52.3 19.38 %
Cleveland cliffs Inc CLF Total 5,092.0 9.0 0.18 %
Dow Inc DOW Coatings & Infrastructure 1,900.0 325.0 17.11 %
Fmc Corporation FMC Industrial Chemicals 254.2 36.5 14.36 %
Fmc Corporation FMC Specialty Chemicals 226.3 44.0 19.44 %
Freeport mcmoran Inc FCX Copper 1,548.0 0.0 -
First Solar Inc FSLR Components 441.5 137.9 31.23 %
Oneok Inc OKE Energy Services 83.0 37.7 45.43 %
Dupont De Nemours Inc DD Agriculture 1,093.0 -63.0 -
Ashland Inc ASH Specialty Ingredients 579.0 75.0 12.95 %
Marathon Petroleum Corporation MPC Refining & Marketing 13,441.0 1,457.0 10.84 %
Ecolab Inc ECL Water Services 536.2 68.3 12.74 %
Flexible Solutions International Inc FSI Total 8.8 0.5 5.85 %
Phillips 66 PSX Total 38,129.0 1,020.0 2.68 %
Eastman Chemical Co EMN Additives & Functional Products 602.0 126.0 20.93 %
Eastman Chemical Co EMN Adhesives & Plasticizers 305.0 74.0 24.26 %
Ecolab Inc ECL Global Industrial 1,268.0 200.5 15.81 %
Fmc Corporation FMC FMC Minerals 263.2 36.2 13.75 %
Eversource Energy ES Gas 106.2 -4.0 -
Aecom ACM Total 4,151.0 152.5 3.67 %
Air Industries Group AIRI Total 13.6 0.3 2.2 %
Astronics Corporation ATRO Total 197.4 1.5 0.78 %
Cpi Aerostructures Inc CVU Total 20.1 1.4 7.01 %
Heico Corporation HEI Total 992.2 147.8 14.9 %
Ducommun Incorporated DCO Total 196.2 7.7 3.94 %
Emcor Group Inc EME Total 3,666.0 247.6 6.75 %
Comfort Systems Usa inc FIX Total 1,810.3 134.0 7.4 %
Tutor Perini Corporation TPC Total 1,127.1 16.0 1.42 %
Sifco Industries Inc SIF Total 28.5 0.1 0.25 %
Transdigm Group Incorporated TDG Total 2,046.0 461.0 22.53 %
Sterling Infrastructure Inc STRL Total 582.7 54.6 9.37 %
Emerson Radio Corp MSN Total 2.2 -1.0 -
Tetra Tech inc TTEK Total 457.2 85.8 18.77 %
Helen Of Troy Limited HELE Total 416.1 6.2 1.49 %
Capstone Companies Inc CAPC Total 0.1 -0.1 -
Energy Focus Inc EFOI Total 1.6 -0.6 -
Lsi Industries Inc LYTS Total 107.2 5.4 5.01 %
Newell Brands Inc NWL Baby & Parenting 207.6 10.2 4.91 %
United guardian Inc UG Total 3.4 1.0 28.21 %
Koppers Holdings Inc KOP Total 550.4 26.2 4.76 %
Intrepid Potash inc IPI Total 8.6 -0.8 -
Martin Marietta Materials Inc MLM Total 1,994.0 416.6 20.89 %
United States Lime and Minerals Inc USLM Total 75.8 26.1 34.37 %
Southern Copper Corp SCCO Total 3,118.3 953.8 30.59 %
Tuanche Ltd TC Total 22.9 -11.7 -
Adm Tronics Unlimited Inc ADMT Total 0.8 -0.4 -
Albemarle Corporation ALB Total 1,430.4 -176.6 -
Axalta Coating Systems Ltd AXTA Total 1,351.0 113.0 8.36 %
Cabot Corporation CBT Total 965.0 246.0 25.49 %
The Chemours Company CC Total 1,487.0 20.0 1.34 %
Celanese Corporation CE Total 2,651.0 153.0 5.77 %
Carlisle Companies Incorporated CSL Total 1,450.6 712.4 49.11 %
Huntsman Corporation HUN Total 1,574.0 38.0 2.41 %
Hawkins Inc HWKN Total 255.9 67.6 26.41 %
Innospec Inc IOSP Total 463.2 39.2 8.46 %
Kronos Worldwide inc KRO Total 500.2 19.5 3.9 %
Quaker Chemical Corporation KWR Total 462.7 34.9 7.54 %
Lsb Industries Inc LXU Total 113.6 -7.7 -
Newmarket Corporation NEU Total 709.5 111.6 15.73 %
Ingevity Corporation NGVT Total 390.2 -283.7 -
Nl Industries inc NL Total 35.2 8.5 24.04 %
Olin Corporation OLN Total 1,644.0 72.3 4.4 %
Tronox Holdings Plc TROX Total 820.0 10.0 1.22 %
Valaris Limited VAL Total 610.1 150.8 24.72 %
Valhi inc VHI Total 559.7 29.7 5.31 %
Stantec Inc STN Total 3,880.7 253.7 6.54 %
Westlake Corporation WLK Total 3,207.0 323.0 10.07 %
Westlake Chemical Partners Lp WLKP Total 284.2 88.0 30.98 %
Advansix Inc ASIX Total 453.5 38.9 8.58 %
Barnes Group Inc B Total 382.2 -46.8 -
Csw Industrials Inc CSWI Total 225.4 38.9 17.23 %
L b Foster Company FSTR Total 140.5 2.9 2.05 %
Matthews International Corp MATW Total 426.8 1.8 0.42 %
Nn Inc NNBR Total 123.0 -2.2 -
Quanex Building Products Corporation NX Total 280.3 25.4 9.04 %
Park ohio Holdings Corp PKOH Total 417.6 10.1 2.42 %
Proto Labs Inc PRLB Total 125.5 4.5 3.62 %
Techprecision Corporation TPCS Total 8.0 -0.5 -
Unifi Inc UFI Total 138.4 -13.3 -
Voxx International Corporation VOXX Total 113.6 -12.6 -
Watts Water Technologies Inc WTS Total 596.8 82.0 13.74 %
Pdc Energy Inc PDCE Total 871.8 288.7 33.12 %
Antero Midstream Corporation AM Total 269.8 86.0 31.89 %
Blue Dolphin Energy Co BDCO Total 68.9 -6.4 -
Genesis Energy Lp GEL Total 756.3 -1.4 -
Gaming And Leisure Properties inc GLPI Total 380.6 214.4 56.33 %
Calumet Inc CLMT Total 1,132.8 -39.1 -
Cvr Energy Inc CVI Total 1,967.0 38.0 1.93 %
Delek Us Holdings Inc DK Total 3,421.7 -26.1 -
Icahn Enterprises l p IEP Total 2,201.0 -486.0 -
Imperial Oil Limited IMO Total 10,251.4 867.9 8.47 %
Pbf Energy Inc PBF Total 8,736.1 -66.0 -
Parsons Corporation PSN Total 1,418.6 59.8 4.22 %
Photronics Inc PLAB Total 210.1 48.2 22.92 %
Plexus Corp PLXS Total 960.4 25.1 2.62 %
Viavi Solutions Inc VIAV Total 252.6 -21.7 -
Arcelormittal MT Total 68,275.0 1,022.0 1.5 %
Intest Corp INTT Total 33.8 0.2 0.68 %
Crawford United Corp CRAWA Total 37.4 3.3 8.78 %
Nova Ltd NVMI Total 517.9 136.3 26.32 %
Bp Plc BP Total 213,032.0 15,880.0 7.45 %
APROX. MARKET   SUBTOTAL 671,658 50,812 7.57 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Air Products And Chemicals Inc APD Electronics Performance Materials 0.0 0.0 -
Conocophillips COP Chemicals & corporate 3.0 156.0 5200 %
Honeywell International Inc HON Aerospace 3,820.0 833.0 21.81 %
Occidental Petroleum Corporation OXY Chemical 1,008.0 231.0 22.92 %
Willdan Group inc WLDN Total 140.8 4.6 3.26 %
General Electric Company GE Aviation 6,001.0 1,353.0 22.55 %
Fluor Corporation FLR Industrial & Infrastructure 1,080.0 58.3 5.4 %
Halliburton Company HAL Completion & Production 3,200.0 163.0 5.09 %
Nov Inc NOV Rig Technology 3,009.0 635.0 21.1 %
Eaton Corporation Plc ETN Aerospace 449.0 79.0 17.59 %
Diamond Offshore Drilling Inc DO Jackups 16.7 4.2 24.99 %
Technipfmc Plc FTI Total Energy Systems 1,454.7 148.2 10.19 %
Cleveland cliffs Inc CLF Total 5,092.0 9.0 0.18 %
Freeport mcmoran Inc FCX Copper 1,548.0 0.0 -
Garmin Ltd GRMN Aviation 102.3 27.4 26.8 %
Nov Inc NOV Rig Systems 1,496.0 253.0 16.91 %
Nov Inc NOV Completion & Production Solutions 798.0 3.0 0.38 %
Baker Hughes Company BKR Total 7,139.0 581.0 8.14 %
Aecom ACM Total 4,151.0 152.5 3.67 %
Air Industries Group AIRI Total 13.6 0.3 2.2 %
Astronics Corporation ATRO Total 197.4 1.5 0.78 %
Cpi Aerostructures Inc CVU Total 20.1 1.4 7.01 %
Heico Corporation HEI Total 992.2 147.8 14.9 %
Ducommun Incorporated DCO Total 196.2 7.7 3.94 %
Emcor Group Inc EME Total 3,666.0 247.6 6.75 %
Tutor Perini Corporation TPC Total 1,127.1 16.0 1.42 %
Sifco Industries Inc SIF Total 28.5 0.1 0.25 %
Transdigm Group Incorporated TDG Total 2,046.0 461.0 22.53 %
Sterling Infrastructure Inc STRL Total 582.7 54.6 9.37 %
Fuller H B Co FUL Total 917.1 51.3 5.59 %
Tetra Tech inc TTEK Total 457.2 85.8 18.77 %
Capstone Companies Inc CAPC Total 0.1 -0.1 -
Energy Focus Inc EFOI Total 1.6 -0.6 -
Lsi Industries Inc LYTS Total 107.2 5.4 5.01 %
Intrepid Potash inc IPI Total 8.6 -0.8 -
Martin Marietta Materials Inc MLM Total 1,994.0 416.6 20.89 %
United States Lime and Minerals Inc USLM Total 75.8 26.1 34.37 %
Southern Copper Corp SCCO Total 3,118.3 953.8 30.59 %
Tuanche Ltd TC Total 22.9 -11.7 -
Albemarle Corporation ALB Total 1,430.4 -176.6 -
Olin Corporation OLN Total 1,644.0 72.3 4.4 %
Barnes Group Inc B Total 382.2 -46.8 -
Forum Energy Technologies Inc FET Total 205.1 -6.7 -
Stantec Inc STN Total 3,880.7 253.7 6.54 %
Oil States International Inc OIS Total 186.4 1.3 0.7 %
Proto Labs Inc PRLB Total 125.5 4.5 3.62 %
Watts Water Technologies Inc WTS Total 596.8 82.0 13.74 %
Calumet Inc CLMT Total 1,132.8 -39.1 -
Core Laboratories Inc CLB Total 125.3 9.2 7.36 %
Rpc inc RES Total 364.2 32.4 8.9 %
Parsons Corporation PSN Total 1,418.6 59.8 4.22 %
Plexus Corp PLXS Total 960.4 25.1 2.62 %
Viavi Solutions Inc VIAV Total 252.6 -21.7 -
Nova Ltd NVMI Total 517.9 136.3 26.32 %
APROX. MARKET   SUBTOTAL 69,304 7,541 10.88 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Air Products And Chemicals Inc APD Total 2,985.5 708.9 23.74 %
Asml Holding Nv ASML Total 30,865.4 8,779.7 28.45 %
Wolfspeed Inc WOLF Total 201.4 -573.0 -
Lam Research Corporation LRCX Total 3,872.1 1,020.3 26.35 %
Esco Technologies inc ESE Total 260.8 29.2 11.21 %
Bentley Systems Incorporated BSY Total 330.1 72.0 21.82 %
Skywater Technology Inc SKYT Total 93.3 -1.0 -
Amkor Technology Inc AMKR Total 1,461.4 67.3 4.6 %
Ase Technology Holding Co Ltd ASX Total 19,004.4 1,218.4 6.41 %
Kulicke And Soffa Industries Inc KLIC Total 181.7 12.3 6.75 %
Taiwan Semiconductor Manufacturing Company Limited TSM Total 70,598.8 27,793.2 39.37 %
Tower Semiconductor Ltd TSEM Total 1,422.7 519.5 36.52 %
Agilent Technologies inc A Electronic Measurement 336.0 76.0 22.62 %
Agilent Technologies inc A Semiconductor & Board Test 629.0 57.0 9.06 %
Altair Engineering Inc ALTR Total 133.9 -4.4 -
Ansys Inc ANSS Total 594.1 130.0 21.89 %
Astronics Corporation ATRO Total 197.4 1.5 0.78 %
Aspen Technology inc AZPN Total 344.3 44.7 12.98 %
Cadence Design Systems Inc CDNS Total 1,060.7 229.5 21.64 %
Teradyne Inc TER Semiconductor Test Sys. 325.5 74.0 22.72 %
Kla Corp KLAC Defect inspection 391.0 0.0 -
Applied Materials Inc AMAT Total 6,778.0 1,705.0 25.15 %
Kla Corp KLAC Total 2,568.7 836.4 32.56 %
Danaher Corporation DHR Test & Measurement 643.5 146.1 22.7 %
Thermo Fisher Scientific Inc TMO Measurement & Control 778.5 146.5 18.82 %
Danaher Corporation DHR Environmental 922.4 202.8 21.99 %
Dover Corp DOV Electronic Technologies 492.3 60.2 12.22 %
Danaher Corporation DHR Professional Instrumentation 1,278.1 270.5 21.16 %
Roper Technologies Inc ROP Energy Systems & Controls 144.6 42.3 29.25 %
Astrotech Corp ASTC Total 0.1 -3.2 -
Xylem Inc XYL Total 2,169.0 194.0 8.94 %
Cemtrex Inc CETX Total 16.9 -1.6 -
Franklin Electric Co Inc FELE Total 542.8 59.3 10.93 %
Atomera Inc ATOM Total 0.1 -4.4 -
Ceva Inc CEVA Total 27.5 -0.3 -
Formfactor inc FORM Total 196.9 19.4 9.85 %
Park Aerospace Corp PKE Total 13.1 1.0 7.58 %
Viavi Solutions Inc VIAV Total 252.6 -21.7 -
Itron Inc ITRI Total 608.5 51.9 8.52 %
Gates Industrial Corporation Plc GTES Total 885.4 77.6 8.76 %
Cohu Inc COHU Total 104.7 -15.8 -
Aehr Test Systems AEHR Total 17.4 23.9 136.77 %
Transcat Inc TRNS Total 66.7 4.4 6.61 %
Senseonics Holdings Inc SENS Total 4.3 -20.3 -
Onto Innovation Inc ONTO Total 206.9 35.9 17.35 %
Camtek Ltd CAMT Total 315.4 78.6 24.93 %
APROX. MARKET   SUBTOTAL 151,338 43,435 28.7 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Air Products And Chemicals Inc APD Materials Technologies 490.0 116.4 23.76 %
Flexible Solutions International Inc FSI Total 8.8 0.5 5.85 %
Conocophillips COP Chemicals & corporate 3.0 156.0 5200 %
Honeywell International Inc HON Aerospace 3,820.0 833.0 21.81 %
Occidental Petroleum Corporation OXY Chemical 1,008.0 231.0 22.92 %
General Electric Company GE Aviation 6,001.0 1,353.0 22.55 %
Fluor Corporation FLR Industrial & Infrastructure 1,080.0 58.3 5.4 %
Halliburton Company HAL Completion & Production 3,200.0 163.0 5.09 %
Nov Inc NOV Rig Technology 3,009.0 635.0 21.1 %
Eaton Corporation Plc ETN Aerospace 449.0 79.0 17.59 %
Diamond Offshore Drilling Inc DO Jackups 16.7 4.2 24.99 %
Technipfmc Plc FTI Total Energy Systems 1,454.7 148.2 10.19 %
Cleveland cliffs Inc CLF Total 5,092.0 9.0 0.18 %
Freeport mcmoran Inc FCX Copper 1,548.0 0.0 -
Garmin Ltd GRMN Aviation 102.3 27.4 26.8 %
Nov Inc NOV Rig Systems 1,496.0 253.0 16.91 %
Nov Inc NOV Completion & Production Solutions 798.0 3.0 0.38 %
3m Company MMM Health Care 1,346.0 432.0 32.1 %
Alcoa Corp AA Alumina & Chemicals 926.0 186.0 20.09 %
Conocophillips COP Midstream 2,280.0 118.0 5.18 %
Conocophillips COP R & M 45,607.0 1,714.0 3.76 %
Devon Energy Corp DVN Marketing & midstream 422.0 0.0 -
Dow Inc DOW Performance Chemicals 3,142.0 540.0 17.19 %
Dte Energy Co DTE Gas Utility 647.0 111.0 17.16 %
Dupont De Nemours Inc DD Agriculture & Nutrition 3,828.0 1,136.0 29.68 %
Dupont De Nemours Inc DD Coatings & Color Technologies 1,302.0 102.0 7.83 %
Dupont De Nemours Inc DD Performance Materials 831.0 317.0 38.15 %
Eastman Chemical Co EMN CASPI Segment 486.0 114.0 23.46 %
Eastman Chemical Co EMN PCI Segment 732.0 104.0 14.21 %
Eastman Chemical Co EMN Fibers 320.0 102.0 31.88 %
Empire Petroleum Corporation EP Marketing & Trading 251.0 -16.0 -
Williams companies inc WMB Williams Partners 1,792.0 1,021.0 56.98 %
Exxon Mobil Corporation XOM Downstream 52,770.0 2,033.0 3.85 %
Exxon Mobil Corporation XOM Chemical 7,032.0 1,227.0 17.45 %
Lyondellbasell Industries N v LYB Total O&P 4,712.0 1,390.0 29.5 %
Marathon Oil Corporation MRO Refineing & transport 17,841.0 527.0 2.95 %
Occidental Petroleum Corporation OXY Oil & Gas 2,054.0 2,054.0 100 %
Ppg Industries Inc PPG Coatings 3,594.0 620.0 17.25 %
P10 Inc PX Total 57.1 -8.8 -
Sunoco Lp SUN Refining & Supply 4,633.0 87.0 1.88 %
United States Steel Corp X Total 4,118.0 183.0 4.44 %
Valero Energy Corp VLO Refining 20,529.0 1,641.0 7.99 %
Williams companies inc WMB Midstream Gas & Liquids 59.0 -2.0 -
Williams companies inc WMB Total 2,336.0 426.0 18.24 %
Dupont De Nemours Inc DD Electronic & Communication Technologies 532.0 5.0 0.94 %
Dupont De Nemours Inc DD Safety & Protection 156.0 156.0 100 %
Newell Brands Inc NWL Home & Family 628.3 70.7 11.25 %
Mattel Inc MAT Total Domestic 1,069.1 230.2 21.53 %
Mattel Inc MAT International 798.6 142.6 17.85 %
Hasbro Inc HAS International 362.8 25.4 6.99 %
Honeywell International Inc HON Specialty Materials 2,220.0 461.0 20.77 %
Chevron Corp CVX Refining, Marketing & Transportation 31,689.0 2,956.0 9.33 %
3m Company MMM Industrial & Transportation 2,575.0 580.0 22.52 %
Illinois Tool Works Inc ITW Transportation 649.0 159.0 24.5 %
Eqt Corporation EQT Midstream 198.6 113.0 56.91 %
Occidental Petroleum Corporation OXY Midstream & marketing 231.0 -177.0 -
Southwestern Energy Company SWN Midstream Services 258.0 68.0 26.36 %
Dover Corp DOV Total Industrial Products 459.9 64.5 14.02 %
Ashland Inc ASH Performance Materials 278.0 13.0 4.68 %
Corning Inc GLW Display technologies 789.0 303.0 38.4 %
3m Company MMM Display & Graphics 910.0 152.0 16.7 %
Hasbro Inc HAS North America 385.2 47.1 12.24 %
Hess Corporation HES Refining marketing & shipping 148.0 16.0 10.81 %
Applied Materials Inc AMAT Display 151.0 25.0 16.56 %
Nu Holdings Ltd NU Gas 269.8 52.3 19.38 %
Dow Inc DOW Coatings & Infrastructure 1,900.0 325.0 17.11 %
Fmc Corporation FMC Industrial Chemicals 254.2 36.5 14.36 %
Fmc Corporation FMC Specialty Chemicals 226.3 44.0 19.44 %
First Solar Inc FSLR Components 441.5 137.9 31.23 %
Oneok Inc OKE Energy Services 83.0 37.7 45.43 %
Dupont De Nemours Inc DD Agriculture 1,093.0 -63.0 -
Alcoa Corp AA Alumina 912.0 212.0 23.25 %
Ashland Inc ASH Specialty Ingredients 579.0 75.0 12.95 %
Marathon Petroleum Corporation MPC Refining & Marketing 13,441.0 1,457.0 10.84 %
Ecolab Inc ECL Water Services 536.2 68.3 12.74 %
Phillips 66 PSX Total 38,129.0 1,020.0 2.68 %
Eastman Chemical Co EMN Additives & Functional Products 602.0 126.0 20.93 %
Eastman Chemical Co EMN Adhesives & Plasticizers 305.0 74.0 24.26 %
Ecolab Inc ECL Global Industrial 1,268.0 200.5 15.81 %
Fmc Corporation FMC FMC Minerals 263.2 36.2 13.75 %
Baker Hughes Company BKR Total 7,139.0 581.0 8.14 %
Eversource Energy ES Gas 106.2 -4.0 -
Aecom ACM Total 4,151.0 152.5 3.67 %
Air Industries Group AIRI Total 13.6 0.3 2.2 %
Astronics Corporation ATRO Total 197.4 1.5 0.78 %
Cpi Aerostructures Inc CVU Total 20.1 1.4 7.01 %
Heico Corporation HEI Total 992.2 147.8 14.9 %
Ducommun Incorporated DCO Total 196.2 7.7 3.94 %
Emcor Group Inc EME Total 3,666.0 247.6 6.75 %
Willdan Group inc WLDN Total 140.8 4.6 3.26 %
Comfort Systems Usa inc FIX Total 1,810.3 134.0 7.4 %
Tutor Perini Corporation TPC Total 1,127.1 16.0 1.42 %
Transdigm Group Incorporated TDG Total 2,046.0 461.0 22.53 %
Sterling Infrastructure Inc STRL Total 582.7 54.6 9.37 %
Sifco Industries Inc SIF Total 28.5 0.1 0.25 %
Emerson Radio Corp MSN Total 2.2 -1.0 -
Tetra Tech inc TTEK Total 457.2 85.8 18.77 %
Fuller H B Co FUL Total 917.1 51.3 5.59 %
Helen Of Troy Limited HELE Total 416.1 6.2 1.49 %
Capstone Companies Inc CAPC Total 0.1 -0.1 -
Chase Corporation CCF Total 100.2 5.9 5.85 %
Energy Focus Inc EFOI Total 1.6 -0.6 -
Lsi Industries Inc LYTS Total 107.2 5.4 5.01 %
Newell Brands Inc NWL Baby & Parenting 207.6 10.2 4.91 %
United guardian Inc UG Total 3.4 1.0 28.21 %
Koppers Holdings Inc KOP Total 550.4 26.2 4.76 %
Intrepid Potash inc IPI Total 8.6 -0.8 -
Martin Marietta Materials Inc MLM Total 1,994.0 416.6 20.89 %
United States Lime and Minerals Inc USLM Total 75.8 26.1 34.37 %
Southern Copper Corp SCCO Total 3,118.3 953.8 30.59 %
Tuanche Ltd TC Total 22.9 -11.7 -
Adm Tronics Unlimited Inc ADMT Total 0.8 -0.4 -
Albemarle Corporation ALB Total 1,430.4 -176.6 -
Axalta Coating Systems Ltd AXTA Total 1,351.0 113.0 8.36 %
Cabot Corporation CBT Total 965.0 246.0 25.49 %
The Chemours Company CC Total 1,487.0 20.0 1.34 %
Celanese Corporation CE Total 2,651.0 153.0 5.77 %
Carlisle Companies Incorporated CSL Total 1,450.6 712.4 49.11 %
Gevo inc GEVO Total 5.3 -21.0 -
Huntsman Corporation HUN Total 1,574.0 38.0 2.41 %
Hawkins Inc HWKN Total 255.9 67.6 26.41 %
Innospec Inc IOSP Total 463.2 39.2 8.46 %
Kronos Worldwide inc KRO Total 500.2 19.5 3.9 %
Quaker Chemical Corporation KWR Total 462.7 34.9 7.54 %
Lsb Industries Inc LXU Total 113.6 -7.7 -
Newmarket Corporation NEU Total 709.5 111.6 15.73 %
Ingevity Corporation NGVT Total 390.2 -283.7 -
Nl Industries inc NL Total 35.2 8.5 24.04 %
Olin Corporation OLN Total 1,644.0 72.3 4.4 %
Tronox Holdings Plc TROX Total 820.0 10.0 1.22 %
Valaris Limited VAL Total 610.1 150.8 24.72 %
Valhi inc VHI Total 559.7 29.7 5.31 %
Westlake Corporation WLK Total 3,207.0 323.0 10.07 %
Westlake Chemical Partners Lp WLKP Total 284.2 88.0 30.98 %
Advansix Inc ASIX Total 453.5 38.9 8.58 %
Barnes Group Inc B Total 382.2 -46.8 -
Csw Industrials Inc CSWI Total 225.4 38.9 17.23 %
Forum Energy Technologies Inc FET Total 205.1 -6.7 -
L b Foster Company FSTR Total 140.5 2.9 2.05 %
Matthews International Corp MATW Total 426.8 1.8 0.42 %
Nn Inc NNBR Total 123.0 -2.2 -
Quanex Building Products Corporation NX Total 280.3 25.4 9.04 %
Oil States International Inc OIS Total 186.4 1.3 0.7 %
Park ohio Holdings Corp PKOH Total 417.6 10.1 2.42 %
Proto Labs Inc PRLB Total 125.5 4.5 3.62 %
Techprecision Corporation TPCS Total 8.0 -0.5 -
Unifi Inc UFI Total 138.4 -13.3 -
Voxx International Corporation VOXX Total 113.6 -12.6 -
Watts Water Technologies Inc WTS Total 596.8 82.0 13.74 %
Pdc Energy Inc PDCE Total 871.8 288.7 33.12 %
Antero Midstream Corporation AM Total 269.8 86.0 31.89 %
Blue Dolphin Energy Co BDCO Total 68.9 -6.4 -
Genesis Energy Lp GEL Total 756.3 -1.4 -
Gaming And Leisure Properties inc GLPI Total 380.6 214.4 56.33 %
Calumet Inc CLMT Total 1,132.8 -39.1 -
Cvr Energy Inc CVI Total 1,967.0 38.0 1.93 %
Stantec Inc STN Total 3,880.7 253.7 6.54 %
Delek Us Holdings Inc DK Total 3,421.7 -26.1 -
Icahn Enterprises l p IEP Total 2,201.0 -486.0 -
Imperial Oil Limited IMO Total 10,251.4 867.9 8.47 %
Pbf Energy Inc PBF Total 8,736.1 -66.0 -
Core Laboratories Inc CLB Total 125.3 9.2 7.36 %
Rpc inc RES Total 364.2 32.4 8.9 %
Parsons Corporation PSN Total 1,418.6 59.8 4.22 %
Photronics Inc PLAB Total 210.1 48.2 22.92 %
Plexus Corp PLXS Total 960.4 25.1 2.62 %
Viavi Solutions Inc VIAV Total 252.6 -21.7 -
Arcelormittal MT Total 68,275.0 1,022.0 1.5 %
Intest Corp INTT Total 33.8 0.2 0.68 %
Crawford United Corp CRAWA Total 37.4 3.3 8.78 %
Nova Ltd NVMI Total 517.9 136.3 26.32 %
Bp Plc BP Total 213,032.0 15,880.0 7.45 %
APROX. MARKET   SUBTOTAL 691,684 52,932 7.65 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Air Products And Chemicals Inc APD Industrial Gases 1,880.0 402.2 21.39 %
3m Company MMM Industrial & Transportation 2,575.0 580.0 22.52 %
Alcoa Corp AA Primary Metals 1,249.0 -59.0 -
Alcoa Corp AA Flat-Rolled Products 1,527.0 62.0 4.06 %
Alcoa Corp AA Engineered Products 1,397.0 151.0 10.81 %
Ati Inc ATI FlatRolled Products 358.0 -91.8 -
Ati Inc ATI High Performance Metals 474.7 18.8 3.96 %
Abbott Laboratories ABT Total 10,377.0 1,302.0 12.55 %
The Aes Corporation AES Contract Generation 2,367.0 367.0 15.5 %
Ameren Corporation AEE Total Electric 1,705.0 0.0 -
American Electric Power Co Inc AEP Utility Ops. 3,600.0 388.0 10.78 %
Amgen Inc AMGN Total 8,388.0 746.0 8.89 %
Biogen Inc BIIB Total 2,464.9 583.6 23.68 %
Bristol myers Squibb Company BMY Total 12,201.0 1,684.0 13.8 %
Cms energy Corporation CMS Electric utility 1,233.0 166.0 13.46 %
Constellation Energy Corporation CEG Merchant 2,488.9 64.4 2.59 %
Corning Inc GLW Telecommunications 800.0 77.0 9.63 %
Dominion Energy Inc D Generation 1,920.0 391.0 20.36 %
Dover Corp DOV Total Industrial Products 459.9 64.5 14.02 %
Dte Energy Co DTE Electric Utility 1,203.0 136.0 11.31 %
Duke Energy Corporation DUK Franchised Electric 6,138.0 905.0 14.74 %
Duke Energy Corporation DUK International Energy 66.0 -3.0 -
Dupont De Nemours Inc DD Performance Materials 831.0 317.0 38.15 %
Dupont De Nemours Inc DD Safety & Protection 156.0 156.0 100 %
Empire Petroleum Corporation EP Power 202.0 2.0 0.99 %
Eli Lilly And Company LLY Total 11,302.8 2,967.0 26.25 %
Entergy Corporation ETR Total 2,953.6 51.7 1.75 %
Exelon Corporation EXC Generation 4,412.0 849.0 19.24 %
Freeport mcmoran Inc FCX Mining & Exploration 2,838.0 531.0 18.71 %
Freeport mcmoran Inc FCX Smelting & Refining 1,615.0 16.0 0.99 %
General Dynamics Corporation GD Information Systems Technology 2,370.0 217.0 9.16 %
Gilead Sciences Inc GILD Total 6,954.0 1,614.0 23.21 %
Halliburton Company HAL Completion & Production 3,200.0 163.0 5.09 %
Illinois Tool Works Inc ITW Transportation 649.0 159.0 24.5 %
International Business Machines Corporation IBM Hardware 1,492.0 -24.0 -
Johnson and Johnson JNJ Total Pharmaceutical 7,946.0 4,543.0 57.17 %
Juniper Networks Inc JNPR Infrastructure 925.4 0.0 -
Merck and Co Inc MRK Total 16,112.0 5,461.0 33.89 %
Nov Inc NOV Rig Technology 3,009.0 635.0 21.1 %
Nucor Corporation NUE Steel products 1,081.0 96.2 8.9 %
Pfizer Inc PFE Total 13,283.0 48.0 0.36 %
Cleveland cliffs Inc CLF Total 5,092.0 9.0 0.18 %
Ppl Corporation PPL International 552.0 249.0 45.11 %
Public Service Enterprise Group Incorporated PEG Power 1,766.0 222.0 12.57 %
Public Service Enterprise Group Incorporated PEG Global 120.0 11.0 9.17 %
Sempra SRE Sempra Generation 356.0 77.0 21.63 %
Tenet Healthcare Corp THC Total 5,103.0 477.0 9.35 %
Texas Instruments Incorporated TXN Total 3,822.0 1,127.0 29.49 %
Te Connectivity Ltd TEL Network Solutions 684.0 51.0 7.46 %
United States Steel Corp X Total 4,118.0 183.0 4.44 %
Worthington Industries Inc WOR Processed Steel Products 490.8 23.6 4.82 %
Xcel Energy Inc XEL Electric Utility 2,667.5 438.0 16.42 %
Wec Energy Group Inc WEC Total Utility 1,442.3 256.6 17.79 %
Davita Inc DVA Total 3,186.7 299.8 9.41 %
Amphenol Corporation APH Cable Products 81.4 10.2 12.53 %
Ciena Corp CIEN Total 942.3 14.2 1.51 %
Diamond Offshore Drilling Inc DO Jackups 16.7 4.2 24.99 %
Nu Holdings Ltd NU Electric 1,313.1 216.0 16.45 %
Technipfmc Plc FTI Total Energy Systems 1,454.7 148.2 10.19 %
Freeport mcmoran Inc FCX Copper 1,548.0 0.0 -
Constellation Energy Corporation CEG Generation 311.4 30.1 9.67 %
Nrg Energy Inc NRG Wholesale Power Generation 2,502.0 446.0 17.83 %
Berkshire Hathaway Inc BRKA Marmon 1,680.0 290.0 17.26 %
Entergy Corporation ETR Electric Utility 2,246.1 0.0 -
Entergy Corporation ETR Wholesale 439.3 -3.5 -
American Electric Power Co Inc AEP Generation and Marketing 802.0 91.0 11.35 %
Steel Dynamics Inc STLD Steel fabrication 173.0 36.7 21.23 %
Intel Corporation INTC Data Center Group 4,140.0 2,127.0 51.38 %
Enact Holdings Inc ACT Total 298.8 183.7 61.46 %
Pentair Plc PNR Technical Solutions 432.3 101.0 23.36 %
Abbvie Inc ABBV Total 14,462.0 1,373.0 9.49 %
Honeywell International Inc HON Specialty Materials 2,220.0 461.0 20.77 %
Nov Inc NOV Rig Systems 1,496.0 253.0 16.91 %
Nov Inc NOV Completion & Production Solutions 798.0 3.0 0.38 %
Nrg Energy Inc NRG NRG Business 2,723.0 165.0 6.06 %
Nrg Energy Inc NRG NRG Yield 209.0 42.0 20.1 %
Advanced Micro Devices Inc AMD Enterprise Embedded & SemiCustom  637.0 84.0 13.19 %
Baker Hughes Company BKR Total 7,139.0 581.0 8.14 %
Eversource Energy ES Electric 1,543.7 318.4 20.63 %
Preformed Line Products Company PLPC Total 160.1 15.1 9.46 %
Optical Cable Corporation OCC Total 16.0 -1.6 -
Belden Inc BDC Total 604.3 49.0 8.11 %
Commscope Holding Company Inc COMM Total 1,599.2 -828.7 -
Kaman Corporation KAMN Total 203.1 1.2 0.61 %
Oil dri Corporation Of America ODC Total 106.1 7.8 7.33 %
Avid Technology Inc AVID Total 91.0 -7.3 -
AKTS Total 7.5 -23.3 -
Adtran Holdings Inc ADTN Total 272.2 -75.6 -
Richardson Electronics Ltd RELL Total 52.3 1.2 2.35 %
Century Aluminum Company CENX Total 560.4 -6.7 -
Novelis Inc NVLCN Total 4,187.0 150.0 3.58 %
Remitly Global Inc RELY Total 306.4 -12.1 -
Arconic Corporation ARNC Total 1,990.0 59.0 2.96 %
Haynes International inc HAYN Total 153.5 8.1 5.29 %
Gibraltar Industries Inc ROCK Total 353.0 32.2 9.12 %
Insteel Industries Inc IIIN Total 126.7 6.9 5.48 %
Timkensteel Corporation TMST Total 354.0 24.8 7.01 %
Universal Stainless and Alloy Products Inc USAP Total 82.0 8.9 10.81 %
Intrepid Potash inc IPI Total 8.6 -0.8 -
Mdu Resources Group Inc MDU Total 1,047.5 60.4 5.77 %
Martin Marietta Materials Inc MLM Total 1,994.0 416.6 20.89 %
United States Lime and Minerals Inc USLM Total 75.8 26.1 34.37 %
Coeur Mining Inc CDE Total 222.0 1.4 0.64 %
Contango Ore Inc CTGO Total -2.7 -13.1 -
Dynaresource Inc DYNR Total 6.1 -6.0 -
Gold Resource Corporation GORO Total 20.4 -27.7 -
Hecla Mining Company HL Total 181.5 -22.4 -
Hammer Fiber Optics Holdings Corp HMMR Total 0.8 -0.5 -
Comstock Inc LODE Total 0.4 -8.7 -
Mcewen Mining Inc MUX Total 47.5 -13.0 -
National Grid Plc NG Total 19,850.0 2,291.0 11.54 %
Royal Gold Inc RGLD Total 174.1 81.3 46.71 %
Ree Automotive Ltd REE Total 1.3 -114.2 -
Southern Copper Corp SCCO Total 3,118.3 953.8 30.59 %
Tuanche Ltd TC Total 22.9 -11.7 -
Verde Resources Inc VRDR Total 0.0 -0.9 -
Solitario Resources Corp XPL Total 0.1 -0.8 -
The Chemours Company CC Total 1,487.0 20.0 1.34 %
Huntsman Corporation HUN Total 1,574.0 38.0 2.41 %
Kronos Worldwide inc KRO Total 500.2 19.5 3.9 %
Quaker Chemical Corporation KWR Total 462.7 34.9 7.54 %
Nl Industries inc NL Total 35.2 8.5 24.04 %
Tronox Holdings Plc TROX Total 820.0 10.0 1.22 %
Valhi inc VHI Total 559.7 29.7 5.31 %
Westlake Corporation WLK Total 3,207.0 323.0 10.07 %
Westlake Chemical Partners Lp WLKP Total 284.2 88.0 30.98 %
Fresenius Medical Care Ag FMS Total 21,788.1 820.4 3.77 %
Dmc Global Inc BOOM Total 170.4 6.3 3.69 %
Forum Energy Technologies Inc FET Total 205.1 -6.7 -
Kaiser Aluminum Corporation KALU Total 743.6 5.4 0.73 %
Liquidmetal Technologies Inc LQMT Total 0.2 -0.3 -
Mueller Industries Inc MLI Total 997.7 163.4 16.38 %
Materion Corporation MTRN Total 425.9 19.0 4.47 %
Nn Inc NNBR Total 123.0 -2.2 -
Oil States International Inc OIS Total 186.4 1.3 0.7 %
Ryerson Holding Corporation RYI Total 1,246.3 35.3 2.83 %
Encore Wire Corp WIRE Total 632.0 63.3 10.01 %
Core Laboratories Inc CLB Total 125.3 9.2 7.36 %
Rpc inc RES Total 364.2 32.4 8.9 %
Ambarella Inc AMBA Total 50.0 -41.7 -
Broadcom Inc AVGO Total 12,487.0 2,121.0 16.99 %
Marvell Technology Inc MRVL Total 1,272.6 -47.1 -
Macom Technology Solutions Holdings Inc MTSI Total 190.5 19.9 10.47 %
Maxlinear Inc MXL Total 91.2 -39.3 -
Qorvo Inc QRVO Total 886.7 1.1 0.13 %
Skyworks Solutions Inc SWKS Total 905.1 120.9 13.36 %
Viavi Solutions Inc VIAV Total 252.6 -21.7 -
Amplitech Group Inc AMPG Total 2.3 -4.7 -
Calamp Corp CAMP Total 61.3 -4.2 -
Clearfield Inc CLFD Total 48.7 -0.4 -
Comtech Telecommunications Corp CMTL Total 128.1 2.7 2.12 %
Harmonic Inc HLIT Total 138.5 -12.5 -
Infinera Corporation INFN Total 342.6 -48.3 -
Kvh Industries Inc KVHI Total 28.7 -2.4 -
Lumentum Holdings Inc LITE Total 287.3 -125.0 -
Netgear Inc NTGR Total 196.9 -84.8 -
Technical Communications Corporation TCCO Total 0.0 -0.5 -
Alpine 4 Holdings Inc ALPP Total 25.4 -41.0 -
Arcelormittal MT Total 68,275.0 1,022.0 1.5 %
Amdocs Limited DOX Total 4,887.6 543.0 11.11 %
Okta Inc OKTA Total 646.0 29.0 4.49 %
Cyberark Software Ltd CYBR Total 751.9 -66.5 -
Nxp Semiconductors N v NXPI Total 3,127.0 664.0 21.23 %
Synaptics Incorporated SYNA Total 237.1 -55.6 -
Audiocodes ltd AUDC Total 244.4 8.8 3.59 %
Digi International Inc DGII Total 105.2 9.7 9.22 %
Silicom Ltd SILC Total 124.1 -26.4 -
Cambium Networks Corp CMBM Total 43.0 -26.2 -
Casa Systems Inc CASA Total 61.9 -25.6 -
Bk Technologies Corporation BKTI Total 20.3 1.7 8.22 %
R F Industries Ltd RFIL Total 15.8 -4.3 -
APROX. MARKET   SUBTOTAL 393,200 44,337 11.28 %







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