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Honeywell International Inc.  (HON)
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Customers by HON's Divisions

(Most recent Quarter in Millions of $)



COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Honeywell International Inc. HON Aerospace 3,820.0 833.0 21.81 %
American Airlines Group Inc. AAL Total 11,559.0 341.0 2.95 %
Atlas Air Worldwide Holdings Inc AAWW Total 656.6 71.1 10.83 %
Abb Ltd ABB Total 34,312.0 2,365.0 6.89 %
Accenture Plc ACN Communications Media & Technology 1,613.0 238.0 14.76 %
Aar Corp AIR Total 493.3 7.0 1.42 %
Air Industries Group AIRI Total 11.0 -3.1 -
Air T Inc AIRT Total 49.3 -1.4 -
Aerojet Rocketdyne Holdings, Inc. AJRD Total 498.8 65.0 13.03 %
Allegiant Travel Co ALGT Total 393.1 15.1 3.85 %
Alaska Air Group, Inc. ALK Total 2,212.0 217.0 9.81 %
Alta Mesa Resources, Inc. AMR Total 6,376.0 0.0 -
Astronics Corp ATRO Total 208.6 14.0 6.72 %
Air Transport Services Group, Inc. ATSG Total 204.9 33.1 16.15 %
Boeing Co BA Commercial Airplanes 17,692.0 1,768.0 9.99 %
Boeing Co BA Precision Engagement & Mobility Systems 4,051.0 496.0 12.24 %
Bel Fuse Inc BELFA Total 146.5 11.4 7.75 %
Ball Corp BLL Aerospace & technologies 203.4 21.4 10.52 %
Broadridge Financial Solutions, Inc. BR Total 972.8 76.7 7.88 %
Bristow Group Inc. BRS Total 350.7 -143.7 -
Capstone Companies, Inc. CAPC Total 5.7 0.2 3.01 %
Comtech Telecommunications Corp CMTL Total 160.8 3.5 2.16 %
Crane Co CR Aerospace 167.1 31.7 18.97 %
Cpi Aerostructures Inc CVU Total 19.9 1.3 6.66 %
Ducommun Inc DCO Total 159.8 4.2 2.61 %
Dish Network Corp DISH Total 3,395.1 452.6 13.33 %
Energy Focus, Inc EFOI Total 5.2 -1.9 -
Era Group Inc. ERA Total 54.6 31.3 57.28 %
Eaton Corp Plc ETN Electrical 3,258.0 486.0 14.92 %
Eaton Corp Plc ETN Aerospace 449.0 79.0 17.59 %
General Dynamics Corporation GD Combat Systems 1,363.0 204.0 14.97 %
General Dynamics Corporation GD Marine Systems 1,943.0 188.0 9.68 %
General Dynamics Corporation GD Aerospace 2,108.0 431.0 20.45 %
General Electric Company GE Aviation 6,001.0 1,353.0 22.55 %
Gilat Satellite Networks Ltd GILT Total 282.8 6.8 2.41 %
Hawaiian Holdings Inc HA Total 759.1 93.5 12.32 %
Heico Corporation HEI Total 430.6 66.0 15.33 %
Huntington Ingalls Industries, Inc. HII Total 2,083.0 229.0 10.99 %
Ichor Holdings, Ltd. ICHR Total 175.2 9.6 5.5 %
Iec Electronics Corp IEC Total 34.2 -1.3 -
Jetblue Airways Corp JBLU Total 2,008.0 50.0 2.49 %
Kvh Industries Inc De KVHI Total 43.5 -1.2 -
Lockheed Martin Corp LMT Aeronautics 3,921.0 418.0 10.66 %
Lockheed Martin Corp LMT Space Systems 1,930.0 232.0 12.02 %
Lsi Industries Inc LYTS Total 84.8 1.7 2.06 %
Northrop Grumman Corp NOC Total Aerospace 2,563.0 303.0 11.82 %
Orbital Atk, Inc. OA Total 1,312.0 101.0 7.7 %
Oshkosh Corp OSK Total 2,057.0 151.3 7.36 %
Parker Hannifin Corp PH Aerospace 544.6 74.0 13.59 %
Phi Inc PHII Total 168.8 -11.5 -
Plexus Corp PLXS Total 771.2 72.7 9.43 %
Powell Industries Inc, POWL Total 134.9 1.5 1.14 %
Proto Labs Inc PRLB Total 115.4 20.9 18.14 %
Passur Aerospace, Inc. PSSR Total 3.7 -2.7 -
Spirit Airlines, Inc. SAVE Total 851.8 11.3 1.32 %
Sigma Labs, Inc. SGLB Total 0.1 -1.3 -
Sifco Industries Inc SIF Total 28.7 -1.5 -
Saker Aviation Services, Inc. SKAS Total 3.3 0.2 6.53 %
Skywest Inc SKYW Total 829.3 83.0 10.01 %
Smtc Corp SMTX Total 53.7 0.9 1.61 %
Sparton Corp. SPA Total 89.5 0.2 0.24 %
Tat Technologies Ltd TATT Total 106.5 2.4 2.25 %
Transdigm Group Inc TDG Total 1,049.4 228.8 21.8 %
Textron Inc TXT Bell 756.0 99.0 13.1 %
Textron Inc TXT Cessna 1,159.0 0.0 -
Ultra Clean Holdings, Inc. UCTT Total 234.1 -6.4 -
United Technologies Corp UTX Pratt & Whitney 3,234.0 419.0 12.96 %
United Technologies Corp UTX Hamilton Sundstrand 3,457.0 572.0 16.55 %
Viavi Solutions Inc. VIAV Total 268.5 -15.3 -
Viasat Inc VSAT Total 517.5 -25.6 -
APROX. MARKET   SUBTOTAL 133,156 12,037 9.04 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Honeywell International Inc. HON Automation & Control Solutions 3,571.0 614.0 17.19 %
Argan Inc AGX Total 116.5 32.4 27.8 %
Aar Corp AIR Total 493.3 7.0 1.42 %
Alon Usa Partners, Lp ALDW Total 495.5 29.2 5.9 %
Alamo Group Inc ALG Total 238.1 14.6 6.13 %
Allison Transmission Holdings Inc ALSN Total 692.0 167.0 24.13 %
Antero Midstream Partners Lp AM Total 266.2 0.0 -
Ameresco, Inc. AMRC Total 205.4 10.7 5.21 %
Smith A O Corp AOS Total 754.1 104.6 13.87 %
Anadarko Petroleum Corp APC Midstream 497.0 216.0 43.46 %
Artesian Resources Corporation ARTNA Total 21.9 3.9 17.92 %
Astec Industries Inc ASTE Total 256.6 6.9 2.69 %
American Water Works Company, Inc. AWK Total 976.0 185.0 18.95 %
American States Water Co AWR Total 124.2 23.0 18.48 %
Acuity Brands Inc AYI Total 932.6 79.6 8.54 %
Blue Dolphin Energy Co BDCO Total 95.5 -0.9 -
Bollente Companies Inc. BOLC Total 0.4 -0.4 -
Broadridge Financial Solutions, Inc. BR Total 972.8 76.7 7.88 %
Borgwarner Inc. BWA Total 2,478.5 215.9 8.71 %
Bwx Technologies, Inc. BWXT Total 425.5 78.1 18.35 %
China Automotive Systems Inc CAAS Total 112.1 0.4 0.34 %
Caterpillar Inc CAT Machinery 6,643.0 310.0 4.67 %
Chicago Bridge & Iron Co N V CBI Total 1,745.6 44.7 2.56 %
Cbs Corporation CBS Publishing 203.0 43.0 21.18 %
Cadiz Inc CDZI Total 0.1 -6.2 -
Cleartronic, Inc. CLRI Total 0.2 -0.1 -
Comtech Telecommunications Corp CMTL Total 160.8 3.5 2.16 %
Conocophillips COP R & M 45,607.0 1,714.0 3.76 %
Cvr Energy Inc CVI Total 1,935.0 121.0 6.25 %
Cvr Refining, Lp CVRR Total 1,857.0 174.0 9.37 %
Chevron Corp CVX Refining, Marketing & Transportation 31,689.0 2,956.0 9.33 %
California Water Service Group CWT Total 223.7 34.4 15.38 %
Dover Corp DOV Fluid Solutions 352.0 0.0 -
Dover Corp DOV Total Fluid Management 585.0 144.3 24.67 %
Dover Corp DOV Refrigeration & Industrial 492.5 0.0 -
Devon Energy Corp DVN Marketing & midstream 422.0 0.0 -
Devon Energy Corp DVN Total 3,601.0 -3,507.0 -
Exeled Holdings Inc. ELED Total 0.0 -1.7 -
Emcor Group Inc EME Total 1,953.9 70.8 3.62 %
Ford Motor Co F Automotive 35,818.0 2,330.0 6.51 %
Franklin Electric Co Inc FELE Total 341.9 29.9 8.76 %
Comfort Systems Usa Inc FIX Total 594.5 38.5 6.48 %
Federal Signal Corp FSS Total 269.4 21.7 8.05 %
General Electric Company GE Appliances & Lighting 2,293.0 165.0 7.2 %
Genesis Energy Lp GEL Total 752.4 10.9 1.44 %
Gencor Industries Inc GENC Total 20.5 3.8 18.36 %
Gaming & Leisure Properties, Inc. GLPI Total 254.1 104.8 41.24 %
Williams Industrial Services Group Inc. GLPW Total 53.5 -13.5 -
Genuine Parts Co GPC Industrial 1,188.0 88.9 7.48 %
Hasbro Inc HAS North America 385.2 47.1 12.24 %
Hasbro Inc HAS International 362.8 25.4 6.99 %
Hudson Technologies Inc HDSN Total 57.8 0.0 -
Hess Corp HES Refining marketing & shipping 148.0 16.0 10.81 %
Hollyfrontier Corp HFC Total 4,770.8 362.1 7.59 %
Honda Motor Co Ltd HMC Total 30,443.5 10,224.4 33.58 %
Harley Davidson Inc HOG Motorcycles total 812.4 0.0 -
Ichor Holdings, Ltd. ICHR Total 175.2 9.6 5.5 %
Icahn Enterprises L.p. IEP Total 2,685.0 -147.0 -
Idex Corp IEX Total 622.9 106.4 17.07 %
Ingersoll-rand Plc IR Climate Control 2,815.5 402.4 14.29 %
Illinois Tool Works Inc ITW Food Equipment 518.0 114.0 22.01 %
Johnson Controls International Plc JCI Building efficiency 2,903.0 340.0 11.71 %
Kandi Technologies Group, Inc. KNDI Total 38.0 -6.5 -
Kvh Industries Inc De KVHI Total 43.5 -1.2 -
Laredo Petroleum, Inc. LPI Total 279.7 55.1 19.68 %
Lyondellbasell Industries N.v. LYB Refining 1,559.0 93.0 5.97 %
Mattel Inc MAT Total Domestic 1,069.1 230.2 21.53 %
Mattel Inc MAT International 798.6 142.6 17.85 %
Welbilt, Inc. MFS Total 367.5 74.8 20.35 %
Miller Industries Inc MLR Total 195.7 8.7 4.43 %
Marathon Petroleum Corp MPC Refining & Marketing 13,441.0 1,457.0 10.84 %
Marathon Oil Corp MRO Refineing & transport 17,841.0 527.0 2.95 %
Manitowoc Co Inc MTW Foodservice equipment 425.3 70.4 16.55 %
National Presto Industries Inc NPK Total 81.7 6.4 7.8 %
Oneok Inc OKE Energy Services 83.0 37.7 45.43 %
Occidental Petroleum Corp OXY Midstream & marketing 231.0 -177.0 -
Pbf Holding Co Llc PBF Total 7,642.5 224.7 2.94 %
Pure Cycle Corp PCYO Total 3.9 0.4 9.16 %
Pdc Energy, Inc. PDCE Total 280.7 -3.4 -
Polaris Industries Inc PII Total 1,651.4 95.5 5.78 %
Sjw Group SJW Total 124.9 15.8 12.65 %
Sorl Auto Parts Inc SORL Total 108.6 -5.0 -
Sanchez Midstream Partners Lp SPP Total 18.2 -0.2 -
Sunoco Lp SUN Refining & Supply 4,633.0 87.0 1.88 %
Southwestern Energy Co SWN Midstream Services 258.0 68.0 26.36 %
Tengasco Inc TGC Total 1.7 0.3 18.02 %
Gentherm Inc THRM Total 258.9 -0.4 -
Telkonet Inc TKOI Total 1.5 -1.3 -
Toyota Motor Corp TM Total 267,580.3 23,553.5 8.8 %
Ultra Clean Holdings, Inc. UCTT Total 234.1 -6.4 -
United Technologies Corp UTX UTC Climate Controls & Security 4,279.0 771.0 18.02 %
Valero Energy Corp VLO Refining 20,529.0 1,641.0 7.99 %
Advanced Drainage Systems, Inc. WMS Total 406.6 29.4 7.22 %
Aqua America Inc WTR Total 226.1 78.4 34.68 %
Exxon Mobil Corp XOM Downstream 52,770.0 2,033.0 3.85 %
York Water Co YORW Total 12.7 3.8 29.93 %
APROX. MARKET   SUBTOTAL 593,385 48,734 8.21 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Honeywell International Inc. HON Specialty Materials 2,220.0 461.0 20.77 %
Alcoa Corp AA Primary Metals 1,249.0 -59.0 -
Alcoa Corp AA Engineered Products 1,397.0 151.0 10.81 %
Applied Optoelectronics, Inc. AAOI Total 56.4 -3.7 -
Abb Ltd ABB Total 34,312.0 2,365.0 6.89 %
Acacia Communications, Inc. ACIA Total 94.8 8.2 8.6 %
Aecom ACM Total 5,305.9 105.4 1.99 %
Velt International Group Inc. ACUG Total -0.2 -0.3 -
Advanced Emissions Solutions, Inc. ADES Total 5.1 5.5 106.92 %
Adaiah Distribution Inc ADHH Total 0.0 0.0 0.88 %
Adtran Inc ADTN Total 128.0 -7.7 -
American Electric Power Co Inc AEP Generation and Marketing 802.0 91.0 11.35 %
Aes Corp AES Contract Generation 2,367.0 367.0 15.5 %
Agco Corp AGCO Total 2,214.7 70.7 3.19 %
Albany International Corp AIN Total 253.3 28.5 11.25 %
Air Industries Group AIRI Total 11.0 -3.1 -
Albemarle Corp ALB Total 777.7 143.5 18.45 %
Alon Usa Partners, Lp ALDW Total 495.5 29.2 5.9 %
Alpine 4 Technologies Ltd. ALPP Total 4.8 0.0 -
Allison Transmission Holdings Inc ALSN Total 692.0 167.0 24.13 %
Autoliv Inc ALV Total 2,033.0 118.0 5.8 %
Antero Midstream Partners Lp AM Total 266.2 0.0 -
Amplitech Group, Inc. AMPG Total 0.5 0.0 1.27 %
Pyxus International, Inc. AOI Total 394.9 -54.8 -
Smith A O Corp AOS Total 754.1 104.6 13.87 %
Anadarko Petroleum Corp APC Midstream 497.0 216.0 43.46 %
Anadarko Petroleum Corp APC Marketing 136.0 -56.0 -
Air Products & Chemicals Inc APD Materials Technologies 490.0 116.4 23.76 %
Amphenol Corp APH Cable Products 81.4 10.2 12.53 %
Arconic Inc. ARNC Total 3,524.0 161.0 4.57 %
Arris International Plc ARRS Total 1,651.2 45.8 2.77 %
Arotech Corporation ARTX Total 23.8 0.7 3.11 %
Ashland Global Holdings Inc. ASH Specialty Ingredients 579.0 75.0 12.95 %
Astec Industries Inc ASTE Total 256.6 6.9 2.69 %
Allegheny Technologies Incorporated ATI FlatRolled Products 358.0 -91.8 -
Allegheny Technologies Incorporated ATI High Performance Metals 474.7 18.8 3.96 %
Aptargroup Inc ATR Total 665.8 39.0 5.86 %
Astronics Corp ATRO Total 208.6 14.0 6.72 %
Au Optronics Corp AUO Total 11,055.7 1,312.6 11.87 %
American Vanguard Corp AVD Total 111.8 6.5 5.81 %
Av Homes, Inc. AVHI Total 203.6 3.0 1.47 %
Avid Technology, Inc. AVID Total 104.0 0.9 0.84 %
Ambient Water Corp. AWGI Total 0.0 -0.2 -
Acuity Brands Inc AYI Total 932.6 79.6 8.54 %
Barnes Group Inc B Total 369.8 39.1 10.58 %
Boeing Co BA Network Systems 2,127.0 245.0 11.52 %
Boeing Co BA Support Systems 2,172.0 281.0 12.94 %
Brunswick Corp BC Marine Engine 523.1 102.5 19.59 %
Brunswick Corp BC Boat 271.3 6.4 2.36 %
Brunswick Corp BC Bowling†& Billiards 72.1 3.3 4.58 %
Boise Cascade Company BCC Total 1,338.5 13.8 1.03 %
Balchem Corp BCPC Total 155.0 19.2 12.39 %
Belden Inc. BDC Total 655.8 85.9 13.09 %
Blue Dolphin Energy Co BDCO Total 95.5 -0.9 -
Bel Fuse Inc BELFA Total 146.5 11.4 7.75 %
Berry Global Group Inc BERY Total 2,054.0 133.0 6.48 %
General Cable Corp BGC Total 1,020.5 -4.2 -
Briggs & Stratton Corp BGG Total 279.0 -41.0 -
B&g Foods, Inc. BGS Total 422.6 32.0 7.57 %
Green Brick Partners, Inc. BIOF Total 150.0 15.4 10.25 %
Blue Bird Corp BLBD Total 331.6 14.9 4.5 %
Ball Corp BLL Total North American packaging 1,444.3 162.5 11.25 %
Ball Corp BLL Total International packaging 450.1 61.1 13.57 %
Bemis Co Inc BMS Flexible Packaging 696.7 100.0 14.35 %
Bollente Companies Inc. BOLC Total 0.4 -0.4 -
Dmc Global Inc. BOOM Total 87.9 4.9 5.59 %
Bridgford Foods Corp BRID Total 56.7 2.1 3.64 %
Global Brass & Copper Holdings, Inc. BRSS Total 429.9 14.9 3.47 %
Anheuser-busch Inbev Sa BUD Packaging 430.7 42.0 9.75 %
Babcock & Wilcox Enterprises, Inc. BW Total 295.0 -105.6 -
Borgwarner Inc. BWA Total 2,478.5 215.9 8.71 %
Beazer Homes Usa Inc BZH Total 767.9 60.6 7.89 %
Calatlantic Group, Inc. CAA Total 1,515.8 93.0 6.13 %
Conagra Brands Inc. CAG Total Consumer Foods 1,859.7 303.8 16.34 %
Capstone Companies, Inc. CAPC Total 5.7 0.2 3.01 %
Crossamerica Partners Lp CAPL Total 696.0 5.3 0.76 %
Caterpillar Inc CAT Machinery 6,643.0 310.0 4.67 %
Caterpillar Inc CAT Engines 5,585.0 0.0 -
Caterpillar Inc CAT Construction Industries Machinery 4,471.0 378.0 8.45 %
Cabot Corp CBT Total 999.0 148.0 14.81 %
Crown Holdings Inc CCK Total 3,174.0 193.0 6.08 %
Csi Compressco Lp CCLP Total 115.3 -7.9 -
Clear Channel Outdoor Holdings, Inc. CCO Total 663.7 -58.4 -
Century Communities, Inc. CCS Total 561.7 17.0 3.03 %
Coeur Mining, Inc. CDE Total 148.8 -53.0 -
Celanese Corporation CE Total 1,771.0 402.0 22.7 %
Ceco Environmental Corp CECE Total 88.3 -12.9 -
China Green Agriculture, Inc. CGA Total 58.0 9.0 15.55 %
Ciena Corp CIEN Total 602.9 169.5 28.11 %
Circor International Inc CIR Total 297.5 -6.8 -
Concrete Leveling Systems Inc CLEV Total 0.0 -0.0 -
Clearfield, Inc. CLFD Total 22.5 1.9 8.37 %
Cleartronic, Inc. CLRI Total 0.2 -0.1 -
Clearone Inc CLRO Total 6.7 -10.1 -
Clearwater Paper Corp CLW Total 426.5 34.4 8.08 %
Clorox Co CLX North America 1,274.0 427.0 33.52 %
Clorox Co CLX Lifestyle 245.0 -87.0 -
Commercial Metals Co CMC Total 1,277.3 19.7 1.55 %
Cms Energy Corporation CMS Electric utility 1,233.0 166.0 13.46 %
Cnh Industrial N.v. CNHI Total 6,686.0 231.0 3.45 %
Commscope Holding Company, Inc. COMM Total 1,150.4 63.8 5.55 %
Conocophillips COP R & M 45,607.0 1,714.0 3.76 %
Campbell Soup Co CPB Biscuits 553.0 73.0 13.2 %
Campbell Soup Co CPB U.S. Simple Meals 505.0 118.0 23.37 %
Crane Co CR Merchandising Systems 186.5 26.1 13.99 %
Cisco Systems, Inc. CSCO Routers 1,793.0 0.0 -
Cts Corp CTS Total 118.9 10.2 8.59 %
Cui Global, Inc. CUI Total 24.7 -1.5 -
Covanta Holding Corp CVA Total 495.0 131.0 26.46 %
Cavco Industries Inc. CVCO Total 241.5 15.6 6.45 %
Commercial Vehicle Group, Inc. CVGI Total 225.0 12.6 5.59 %
Cvr Energy Inc CVI Total 1,935.0 121.0 6.25 %
Cvr Refining, Lp CVRR Total 1,857.0 174.0 9.37 %
Cpi Aerostructures Inc CVU Total 19.9 1.3 6.66 %
Chevron Corp CVX Refining, Marketing & Transportation 31,689.0 2,956.0 9.33 %
China Xd Plastics Co Ltd CXDC Total 297.2 9.0 3.02 %
Dominion Energy Inc D Generation 1,920.0 391.0 20.36 %
Daktronics Inc DAKT Total 172.7 8.6 4.98 %
Dana Inc DAN Power Technologies 254.0 38.0 14.96 %
Ducommun Inc DCO Total 159.8 4.2 2.61 %
Dupont E I De Nemours & Co DD Agriculture & Nutrition 3,828.0 1,136.0 29.68 %
Dupont E I De Nemours & Co DD Electronic & Communication Technologies 532.0 5.0 0.94 %
Dupont E I De Nemours & Co DD Agriculture 1,093.0 -63.0 -
Dupont E I De Nemours & Co DD Nutrition & Health 810.0 317.0 39.14 %
Dillards, Inc. DDS Construction 46.1 1.8 3.91 %
Deere & Co DE Agricultural equipment 5,308.0 472.0 8.89 %
Deere & Co DE Construction & forestry 1,532.0 129.0 8.42 %
Deltic Timber Corp DEL Total 61.7 2.5 4.06 %
Horton D R Inc DHI Home sales 2,857.9 569.0 19.91 %
Danaher Corp DHR Professional Instrumentation 1,278.1 270.5 21.16 %
Danaher Corp DHR Industrial Technologies 807.7 196.8 24.37 %
Aptiv Plc DLPH Electronic Architecture 2,078.0 253.0 12.18 %
Dover Corp DOV Fluid Solutions 352.0 0.0 -
Dover Corp DOV Total Fluid Management 585.0 144.3 24.67 %
Dover Corp DOV Refrigeration & Industrial 492.5 0.0 -
Dow Chemical Co DOW Performance Chemicals 3,142.0 540.0 17.19 %
Dow Chemical Co DOW Agricultural Sciences 1,167.0 582.0 49.87 %
Drone Aviation Holding Corp. DRNE Total 0.1 -1.2 -
Dsw Inc. DSW Total 833.0 39.3 4.72 %
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 -
Devon Energy Corp DVN Marketing & midstream 422.0 0.0 -
Dynegy Inc. DYN Power generation MW 195.0 -37.0 -
Dynegy Inc. DYN Power generation WE 19.0 -19.0 -
Dynegy Inc. DYN Total Power Generation 1,232.0 147.0 11.93 %
Dynaresource Inc DYNR Total 3.8 0.1 2.37 %
Ennis, Inc. EBF Total 108.1 10.4 9.64 %
El Capitan Precious Metals Inc ECPN Total -0.0 -2.6 -
Energy Focus, Inc EFOI Total 5.2 -1.9 -
Exeled Holdings Inc. ELED Total 0.0 -1.7 -
Electronic Systems Technology Inc ELST Total 0.3 -0.0 -
Callaway Golf Co ELY Total 262.7 9.7 3.71 %
Emcor Group Inc EME Total 1,953.9 70.8 3.62 %
Emcore Corp EMKR Total 25.2 -5.9 -
Eastman Chemical Co EMN PCI Segment 732.0 104.0 14.21 %
Eastman Chemical Co EMN Adhesives & Plasticizers 305.0 74.0 24.26 %
Enphase Energy, Inc. ENPH Total 78.0 -3.5 -
Eversource Energy ES Electric 1,543.7 318.4 20.63 %
Escalade Inc ESCA Total 44.0 3.6 8.13 %
Essendant Inc ESND Total 1,294.5 -4.5 -
Eaton Corp Plc ETN Fluid Power 599.0 44.0 7.35 %
Eaton Corp Plc ETN Electrical 3,258.0 486.0 14.92 %
Eaton Corp Plc ETN Automotive 897.0 136.0 15.16 %
Eaton Corp Plc ETN Aerospace 449.0 79.0 17.59 %
Entergy Corp ETR Wholesale 439.3 -3.5 -
Entergy Corp ETR Electric Utility 2,246.1 0.0 -
Envision Solar International, Inc. EVSI Total 0.9 -0.6 -
Exelon Corp EXC Generation 4,412.0 849.0 19.24 %
Archrock, Inc. EXH Total 232.4 10.0 4.29 %
Exterran Corporation EXTN Total 334.8 5.4 1.6 %
Ford Motor Co F Automotive 35,818.0 2,330.0 6.51 %
Fortune Brands Home & Security, Inc. FBHS Plumbing & Accessories 364.4 80.9 22.2 %
Fortune Brands Home & Security, Inc. FBHS Advanced Material Windows & Door Systems 123.8 16.7 13.49 %
Fortune Brands Home & Security, Inc. FBHS Security & Storage 147.3 16.6 11.27 %
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 %
Freeport-mcmoran Inc FCX Copper 1,548.0 0.0 -
Firstenergy Corp FE Competitive Serv. 248.0 70.0 28.23 %
Franklin Electric Co Inc FELE Total 341.9 29.9 8.76 %
Franklin Wireless Corp FKWL Total 13.3 0.1 0.92 %
Flir Systems Inc FLIR Commercial Vision Systems 65.4 17.6 26.87 %
Flir Systems Inc FLIR Thermal Vision & Measurement 208.5 35.8 17.17 %
Flir Systems Inc FLIR Instruments 90.3 28.3 31.4 %
Flir Systems Inc FLIR Security 60.0 7.9 13.11 %
Flowers Foods Inc FLO Total 923.4 39.6 4.29 %
Fluor Corp FLR Industrial†& Infrastructure 1,080.0 58.3 5.4 %
Flowserve Corp FLS Pump Division 514.5 155.4 30.2 %
Fmc Corporation FMC Agricultural Products 677.7 136.8 20.19 %
Fmc Corporation FMC Specialty Chemicals 226.3 44.0 19.44 %
Finisar Corp FNSR Total 325.4 -5.3 -
Fuling Global Inc. FORK Total 67.1 0.4 0.57 %
Fox Factory Holding Corp FOXF Total 175.8 24.7 14.07 %
Federal Signal Corp FSS Total 269.4 21.7 8.05 %
Forevergreen Worldwide Corp FVRG Total 2.3 -0.3 -
General Dynamics Corporation GD Information Systems Technology 2,370.0 217.0 9.16 %
General Electric Company GE Consumer & Industrial 2,098.0 77.0 3.67 %
General Electric Company GE Aviation 6,001.0 1,353.0 22.55 %
General Electric Company GE Appliances & Lighting 2,293.0 165.0 7.2 %
Greif Inc GEF Total 987.7 45.5 4.61 %
Genesis Energy Lp GEL Total 752.4 10.9 1.44 %
Gencor Industries Inc GENC Total 20.5 3.8 18.36 %
Graco Inc. GGG Total 415.9 92.7 22.28 %
General Mills Inc, GIS U.S. Retail 2,531.2 629.7 24.88 %
General Mills Inc, GIS International 1,199.0 117.0 9.76 %
Galenfeha, Inc. GLFH Total 0.6 -0.1 -
Gaming & Leisure Properties, Inc. GLPI Total 254.1 104.8 41.24 %
Glatfelter P H Co GLT Total 209.9 -95.8 -
Corning Inc GLW Telecommunications 800.0 77.0 9.63 %
Corning Inc GLW Life sciences 211.0 18.0 8.53 %
General Motors Company GM GMA 22,253.0 -5,156.0 -
General Motors Company GM GM Automotive 36,670.0 2,648.0 7.22 %
Generac Holdings Inc. GNRC Total 559.5 76.5 13.68 %
Gold Resource Corp GORO Total 46.4 -0.8 -
Genuine Parts Co GPC Office Products 477.8 34.5 7.22 %
Gaming Partners International Corp GPIC Total 22.9 1.5 6.41 %
Golden Queen Mining Co Ltd GQM Total 16.9 -3.4 -
Gorman Rupp Co GRC Total 102.9 10.7 10.4 %
Goodyear Tire & Rubber Co GT Total Tires 4,184.0 599.0 14.32 %
Hain Celestial Group Inc. HAIN Total 560.8 -37.4 -
Hasbro Inc HAS North America 385.2 47.1 12.24 %
Hasbro Inc HAS International 362.8 25.4 6.99 %
Haynes International Inc HAYN Total 122.3 2.1 1.74 %
Hudson Technologies Inc HDSN Total 57.8 0.0 -
Heico Corporation HEI Total 430.6 66.0 15.33 %
Hess Corp HES Refining marketing & shipping 148.0 16.0 10.81 %
Hollyfrontier Corp HFC Total 4,770.8 362.1 7.59 %
Hillenbrand, Inc. HI Total 474.7 47.2 9.94 %
Hill International, Inc. HIL Total 101.9 -8.5 -
Hecla Mining Co HL Total 143.6 -23.2 -
Harmonic Inc HLIT Total 100.6 -7.8 -
Honda Motor Co Ltd HMC Total 30,443.5 10,224.4 33.58 %
Hammer Fiber Optics Holdings Corp HMMR Total 0.0 -0.5 -
Harley Davidson Inc HOG Motorcycles total 812.4 0.0 -
Hovnanian Enterprises Inc HOV Total 614.8 46.2 7.51 %
Hormel Foods Corp HRL Grocery Products 388.1 53.1 13.68 %
Harris Corp HRS RF Communications 504.7 156.6 31.03 %
Harris Corp HRS Government Communications Systems 484.7 66.2 13.66 %
Harris Corp HRS Communication Systems 525.7 172.4 32.79 %
Huntsman Corp HUN Total 2,444.0 -8.0 -
Houston Wire & Cable Co HWCC Total 90.1 2.5 2.73 %
Hexion Inc. HXN Total 952.0 -18.0 -
Iec Electronics Corp IEC Total 34.2 -1.3 -
Ieh Corp IEHC Total 6.6 0.9 14.34 %
Icahn Enterprises L.p. IEP Total 2,685.0 -147.0 -
Idex Corp IEX Total 622.9 106.4 17.07 %
Insteel Industries Inc IIIN Total 104.1 4.1 3.96 %
Ii-vi Inc IIVI Total 314.4 26.1 8.32 %
Infinera Corp INFN Total 200.4 -32.6 -
Intel Corp INTC Other Intel Architecture Group 1,105.0 -620.0 -
Innospec Inc. IOSP Total 363.1 20.6 5.67 %
International Paper Co IP Printing Papers 1,258.0 179.0 14.23 %
International Paper Co IP Industrial Packaging 3,642.0 553.0 15.18 %
International Paper Co IP Consumer Packaging 809.0 -153.0 -
Inphi Corp IPHI Total 78.0 -22.7 -
Innophos Holdings, Inc. IPHS Total 196.9 14.0 7.13 %
Intrepid Potash, Inc. IPI Total 28.1 3.4 11.9 %
Ingersoll-rand Plc IR Industrial Solutions 784.7 90.7 11.56 %
Ingersoll-rand Plc IR Climate Control 2,815.5 402.4 14.29 %
Itt Inc. ITT Motion & Flow Control 386.0 49.0 12.69 %
Itt Inc. ITT Industrial Process 270.6 34.0 12.56 %
Illinois Tool Works Inc ITW Industrial Packaging 496.0 79.0 15.93 %
Illinois Tool Works Inc ITW Power Systems & Electronics 426.0 111.0 26.06 %
Illinois Tool Works Inc ITW Construction Products 419.0 84.0 20.05 %
Illinois Tool Works Inc ITW Food Equipment 518.0 114.0 22.01 %
Jason Industries, Inc. JASN Total 145.3 -5.5 -
Sanfilippo John B & Son Inc JBSS Total 204.3 6.6 3.23 %
Johnson Controls International Plc JCI Interior experience 4,161.0 370.0 8.89 %
Johnson Controls International Plc JCI Interior experience Asia 663.0 99.0 14.93 %
Johnson Controls International Plc JCI Interior experience Europe 2,182.0 -66.0 -
Johnson Controls International Plc JCI Interior experience North America 2,167.0 147.0 6.78 %
Johnson Controls International Plc JCI Power solutions 1,685.0 340.0 20.18 %
Communications Systems Inc JCS Total 15.3 -1.5 -
Jacobs Engineering Group Inc JEC Construction 775.9 0.0 -
J&j Snack Foods Corp JJSF Total 300.7 -80.2 -
Jinkosolar Holding Co., Ltd. JKS Total 3,082.3 286.9 9.31 %
Juniper Networks Inc JNPR Infrastructure 925.4 0.0 -
St Joe Co JOE Total 23.7 5.3 22.57 %
Johnson Outdoors Inc JOUT Total 91.1 -5.0 -
Kellogg Co K U.S. Morning Foods & Kashi 762.0 110.0 14.44 %
Kellogg Co K U.S. Specialty 281.0 63.0 22.42 %
Kadant Inc KAI Total 165.7 19.0 11.45 %
Kaman Corporation KAMN Total 443.1 1.4 0.32 %
Kb Home KBH Total Homebuilding 840.2 31.3 3.72 %
Kraft Heinz Co KHC Total 6,378.0 628.0 9.85 %
Kimberly Clark Corp KMB Personal Care 2,306.0 473.0 20.51 %
Kimberly Clark Corp KMB Consumer Tissue 1,499.0 260.0 17.34 %
Kandi Technologies Group, Inc. KNDI Total 38.0 -6.5 -
Koppers Holdings Inc. KOP Total 442.7 6.9 1.56 %
Kronos Worldwide Inc KRO Total 410.3 32.6 7.95 %
Kapstone Paper & Packaging Corp KS Total 893.6 72.5 8.11 %
Kratos Defense & Security Solutions, Inc. KTOS Total 159.4 1.7 1.07 %
Kiwa Bio-tech Products Group Corp KWBT Total 7.7 0.6 8.07 %
Quaker Chemical Corporation KWR Total 222.0 19.8 8.9 %
Kyocera Corp KYO Total 14,306.5 771.0 5.39 %
Lear Corp LEA Total 4,891.6 274.7 5.62 %
Lennar Corp LEN Homebuilding total 2,232.3 319.0 14.29 %
Lgi Homes, Inc. LGIH Total 380.4 37.7 9.92 %
Lumentum Holdings Inc. LITE Total 354.1 46.3 13.08 %
L3 Technologies, Inc. LLL C3ISR 516.0 12.0 2.33 %
Lockheed Martin Corp LMT Space Systems 1,930.0 232.0 12.02 %
Snyders-lance, Inc. LNCE Total 1,638.0 104.3 6.36 %
Landec Corp Ca LNDC Total 124.9 -0.6 -
Comstock Mining Inc. LODE Total 0.0 -2.0 -
Laredo Petroleum, Inc. LPI Total 279.7 55.1 19.68 %
Lg Display Co., Ltd. LPL Total 25,844.9 1,801.5 6.97 %
Louisiana-pacific Corp LPX OSB 200.0 -11.1 -
Louisiana-pacific Corp LPX Engineered Wood Products 74.4 -0.9 -
Liquidmetal Technologies Inc LQMT Total 0.3 -1.9 -
Lsb Industries Inc LXU Total 79.8 -26.2 -
Lyondellbasell Industries N.v. LYB Refining 1,559.0 93.0 5.97 %
Lsi Industries Inc LYTS Total 84.8 1.7 2.06 %
Masco Corp MAS Plumbing Products 853.0 137.0 16.06 %
Mattel Inc MAT Total Domestic 1,069.1 230.2 21.53 %
Mattel Inc MAT International 798.6 142.6 17.85 %
Marrone Bio Innovations Inc MBII Total 5.4 -4.4 -
Mdc Holdings Inc MDC Total 777.1 53.4 6.87 %
Mondelez International, Inc. MDLZ Biscuits 2,904.0 0.0 -
Perma-pipe International Holdings, Inc. MFRI Total 34.0 -0.4 -
Welbilt, Inc. MFS Total 367.5 74.8 20.35 %
Magellan Gold Corporation MGC Total 0.0 -0.5 -
Mullan Agritech, Inc. MHDG Total 3.1 0.2 7.85 %
M I Homes Inc MHO Total 567.8 29.3 5.16 %
Macquarie Infrastructure Corp MIC Total 473.3 21.4 4.52 %
Mitel Networks Corp MITL Total 309.6 -6.7 -
Mueller Industries Inc MLI Total 646.0 20.9 3.23 %
Martin Marietta Materials Inc MLM Total 802.0 10.0 1.25 %
Mamamancinis Holdings, Inc. MMMB Total 8.2 0.4 4.32 %
Modine Manufacturing Co MOD Total 548.9 38.7 7.05 %
Monsanto Co MON Agricultural Productivity 1,104.0 392.0 35.51 %
Marathon Petroleum Corp MPC Speedway 5,256.0 243.0 4.62 %
Marathon Petroleum Corp MPC Refining & Marketing 13,441.0 1,457.0 10.84 %
Marathon Oil Corp MRO Refineing & transport 17,841.0 527.0 2.95 %
Motorola Solutions, Inc. MSI Global Telecom Solutions 2,244.0 337.0 15.02 %
Motorola Solutions, Inc. MSI Broadband Communications 1,005.0 54.0 5.37 %
Motorola Solutions, Inc. MSI Enterprise 600.0 57.0 9.5 %
Motorola Solutions, Inc. MSI Products 867.0 171.0 19.72 %
Mannatech Inc MTEX Total 43.0 -1.7 -
Meritage Homes Corp MTH Total 160.3 54.1 33.78 %
Materion Corp MTRN Total 297.2 20.0 6.72 %
Manitowoc Co Inc MTW Foodservice equipment 425.3 70.4 16.55 %
Minerals Technologies Inc MTX Total 464.1 42.9 9.24 %
Murphy Usa Inc. MUSA Total Marketing 3,361.7 0.0 -
Mcewen Mining Inc. MUX Total 26.9 -13.3 -
Mueller Water Products, Inc. MWA Total 250.2 15.3 6.12 %
Maxlinear Inc MXL Total 85.0 -13.9 -
Natural Alternatives International Inc NAII Total 36.5 2.6 7 %
Navistar International Corp NAV Total 2,606.0 177.0 6.79 %
Nuverra Environmental Solutions, Inc. NES Total 49.7 -7.1 -
Newmarket Corp NEU Total 563.2 58.5 10.38 %
Nf Energy Saving Corp NFEC Total 1.1 -0.3 -
Natural Gas Services Group Inc NGS Total 14.7 0.2 1.53 %
Nightfood Holdings, Inc. NGTF Total 0.1 -0.5 -
Nates Food Co. NHMD Total 0.0 -0.2 -
Nisource Inc NI Electric 431.5 383.0 88.76 %
Nl Industries Inc NL Total 30.0 -14.9 -
Nn Inc NNBR Total 205.7 -13.8 -
Nobility Homes Inc NOBH Total 11.4 1.2 10.9 %
National Presto Industries Inc NPK Total 81.7 6.4 7.8 %
Enpro Industries, Inc NPO Total 388.2 24.2 6.23 %
Neophotonics Corp NPTN Total 81.7 -8.1 -
Nrg Energy, Inc. NRG Wholesale Power Generation 2,502.0 446.0 17.83 %
Nrg Energy, Inc. NRG NRG Yield 209.0 42.0 20.1 %
Nrg Energy, Inc. NRG NRG Business 2,723.0 165.0 6.06 %
Netgear, Inc NTGR Total 400.6 9.2 2.28 %
Nucor Corp NUE Steel mills 2,816.4 260.8 9.26 %
Nucor Corp NUE Steel products 1,081.0 96.2 8.9 %
Nvr Inc NVR Total 1,852.4 195.8 10.57 %
New Home Co Inc. NWHM Total 159.1 2.5 1.54 %
Newell Brands Inc NWL Newell Professional 535.4 70.6 13.19 %
Newell Brands Inc NWL Writing 459.5 114.1 24.83 %
Quanex Building Products Corporation NX Total 244.1 6.5 2.66 %
Orbital Atk, Inc. OA Total 1,312.0 101.0 7.7 %
Ocean Bio Chem Inc OBCI Total 13.2 1.3 9.65 %
Optical Cable Corp OCC Total 20.3 -0.4 -
Ciner Resources Lp OCIR Total 246.8 19.0 7.7 %
Omega Flex, Inc. OFLX Total 27.2 5.2 19.16 %
Oneok Inc OKE Energy Services 83.0 37.7 45.43 %
Olin Corporation OLN Total 1,872.4 195.1 10.42 %
Omnova Solutions Inc OMN Total 193.6 -1.9 -
Omnitek Engineering Corp. OMTK Total 0.4 -0.1 -
Orient Paper Inc. ONP Total 1.9 -4.1 -
Ourpets Co OPCO Total 7.2 0.2 2.97 %
Osi Systems Inc OSIS Total 266.2 9.4 3.53 %
Oshkosh Corp OSK Total 2,057.0 151.3 7.36 %
Occidental Petroleum Corp OXY Chemical 1,008.0 231.0 22.92 %
Occidental Petroleum Corp OXY Midstream & marketing 231.0 -177.0 -
Paradise Inc PARF Total 8.7 0.5 5.57 %
Patriot Transportation Holding, Inc. PATI Total 28.8 0.6 2.19 %
Pbf Holding Co Llc PBF Total 7,642.5 224.7 2.94 %
Paccar Inc PCAR Truck 3,744.7 388.3 10.37 %
Pdc Energy, Inc. PDCE Total 280.7 -3.4 -
Public Service Enterprise Group Inc PEG Power 1,766.0 222.0 12.57 %
Public Service Enterprise Group Inc PEG Global 120.0 11.0 9.17 %
Pepsico Inc PEP Frito-Lay North America 3,555.0 1,085.0 30.52 %
Pepsico Inc PEP Quaker Foods North America 583.0 150.0 25.73 %
Ply Gem Holdings Inc PGEM Total 516.9 14.6 2.82 %
Pershing Gold Corp. PGLC Total 0.0 -3.2 -
Parker Hannifin Corp PH Aerospace 544.6 74.0 13.59 %
Pultegroup Inc PHM Homebuilding 1,464.1 345.3 23.58 %
Polaris Industries Inc PII Total 1,651.4 95.5 5.78 %
Packaging Corp Of America PKG Total 1,809.9 206.7 11.42 %
Park Ohio Industries Inc PKOH Total 414.3 15.0 3.62 %
Photronics Inc PLAB Total 144.7 16.8 11.59 %
Preformed Line Products Co PLPC Total 108.4 9.1 8.35 %
Plexus Corp PLXS Total 771.2 72.7 9.43 %
Pentair Plc PNR Water & Fluid Solutions 684.7 113.3 16.55 %
Pentair Plc PNR Technical Solutions 432.3 101.0 23.36 %
Post Holdings, Inc. POST Total 1,629.9 -15.4 -
Powell Industries Inc, POWL Total 134.9 1.5 1.14 %
Ppg Industries Inc PPG Glass 278.0 32.0 11.51 %
Ppl Corp PPL International 552.0 249.0 45.11 %
Parkervision Inc PRKR Total 0.0 -4.8 -
Proto Labs Inc PRLB Total 115.4 20.9 18.14 %
Praxair Inc PX Surface Technologies 147.0 25.0 17.01 %
Pixelworks, Inc. PXLW Total 21.5 0.2 1.08 %
Paramount Gold Nevada Corp. PZG Total 0.1 1.1 1013.09 %
Qualcomm Inc QCOM CDMA Technologies 3,625.0 280.0 7.72 %
Qualcomm Inc QCOM Technology Licensing 1,785.0 1,487.0 83.31 %
Qualcomm Inc QCOM Wireless & Internet 42.0 -54.0 -
Qep Resources, Inc. QEP Marketing & other 200.7 10.7 5.33 %
Rowan Companies Plc RDC Mining, Forestry & Steel Products 74.0 6.8 9.14 %
Richardson Electronics Ltd RELL Total 44.2 0.4 0.98 %
Resolute Forest Products Inc. RFP Total 974.0 117.0 12.01 %
Royal Gold Inc RGLD Total 116.2 24.0 20.65 %
Gibraltar Industries, Inc. ROCK Total 280.1 19.5 6.96 %
Roper Technologies Inc ROP Industrial Technology 186.1 52.3 28.1 %
Raytheon Co RTN Integrated Defense Systems 1,533.0 212.0 13.83 %
Raytheon Co RTN Space & Airborne Systems 1,446.0 204.0 14.11 %
Sunrun Inc. RUN Total 205.0 -47.5 -
Bk Technologies, Inc. RWC Total 13.3 0.7 4.89 %
Rayonier Advanced Materials Inc. RYAM Total 544.3 37.9 6.97 %
Ryerson Holding Corporation RYI Total 1,250.0 77.7 6.22 %
S&w Seed Co SANW Total 26.1 0.0 0.08 %
Southern Copper Corp SCCO Total 1,723.7 370.7 21.51 %
Scana Corporation SCG Electric Operations 742.0 313.0 42.18 %
Stepan Co SCL Total 519.9 32.9 6.33 %
Seachange International Inc SEAC Total 18.6 -3.8 -
Solaredge Technologies Inc SEDG Total 236.6 45.6 19.29 %
Sealed Air Corp SEE Food Packaging 836.4 168.4 20.13 %
Sealed Air Corp SEE Protective & Specialty Packaging 384.7 81.0 21.06 %
Semgroup Corp SEMG Total 595.8 -2.7 -
Sigma Labs, Inc. SGLB Total 0.1 -1.3 -
Sifco Industries Inc SIF Total 28.7 -1.5 -
Skyline Champion Corp SKY Total 355.4 -77.0 -
Silgan Holdings Inc SLGN Total 1,307.0 84.7 6.48 %
Smtc Corp SMTX Total 53.7 0.9 1.61 %
Snap-on Inc SNA Snap-on Dealer Group 380.6 282.9 74.33 %
Inventure Foods, Inc. SNAK Total 27.4 -25.4 -
Sun Hydraulics Corporation SNHY Total 135.8 11.6 8.54 %
Sonoco Products Co SON Total 1,366.4 89.6 6.56 %
Sparton Corp. SPA Total 89.5 0.2 0.24 %
Spartan Motors Inc SPAR Total 226.2 5.2 2.32 %
Sanchez Midstream Partners Lp SPP Total 18.2 -0.2 -
Spirit Aerosystems Holdings, Inc. SPR Total 1,813.7 168.8 9.31 %
Sunpower Corp SPWR Total 428.3 -113.9 -
Sql Technologies Corp. SQFL Total 1.0 -3.6 -
Sempra Energy SRE Sempra Generation 356.0 77.0 21.63 %
Star Gold Corp. SRGZ Total 0.0 -0.1 -
Stoneridge Inc SRI Total 208.9 13.3 6.36 %
Sprague Resources Lp SRLP Total 618.5 -20.5 -
Shotspotter, Inc. SSTI Total 9.2 -1.4 -
Sunopta Inc. STKL Total 308.4 -4.5 -
Steel Dynamics Inc STLD Steel Operations 1,285.5 124.7 9.7 %
Steel Dynamics Inc STLD Steel fabrication 173.0 36.7 21.23 %
Sterling Construction Co Inc STRL Total 291.3 10.2 3.49 %
Stratus Properties Inc. STRS Total 17.9 -2.4 -
Sunoco Lp SUN Refining & Supply 4,633.0 87.0 1.88 %
Sunoco Lp SUN Retail & Marketing 4,467.0 73.0 1.63 %
Sunvalley Solar, Inc. SUNV Total 0.7 -0.4 -
Sunworks, Inc. SUNW Total 18.3 -0.4 -
Stanley Black & Decker, Inc. SWK Consumer products 1,838.2 307.8 16.74 %
Stanley Black & Decker, Inc. SWK Industrial tools 479.3 85.4 17.82 %
Stanley Black & Decker, Inc. SWK Security solutions 512.0 60.8 11.88 %
Southwestern Energy Co SWN Midstream Services 258.0 68.0 26.36 %
Synalloy Corporation SYNL Total 77.8 5.0 6.47 %
Tat Technologies Ltd TATT Total 106.5 2.4 2.25 %
Technical Communications Corp TCCO Total 1.5 0.2 15.74 %
Transdigm Group Inc TDG Total 1,049.4 228.8 21.8 %
Te Connectivity Ltd. TEL Electronic Components 1,984.0 262.0 13.21 %
Te Connectivity Ltd. TEL Network Solutions 684.0 51.0 7.46 %
Te Connectivity Ltd. TEL Transportation Connectivity 1,508.0 272.0 18.04 %
Te Connectivity Ltd. TEL Communications & Industrial Solutions 792.0 84.0 10.61 %
Tenneco Inc TEN Total 2,372.0 63.0 2.66 %
Terex Corp TEX Construction 180.1 2.7 1.5 %
Terex Corp TEX Aerial Work Platforms 573.8 79.4 13.84 %
Tengasco Inc TGC Total 1.7 0.3 18.02 %
Triumph Group Inc TGI Total 855.1 -14.7 -
Gentherm Inc THRM Total 258.9 -0.4 -
Treehouse Foods, Inc. THS Total 1,394.0 5.4 0.39 %
Tht Heat Transfer Technology, Inc. THTI Total 14.5 0.2 1.49 %
Orchids Paper Products Co TIS Total 48.7 -16.0 -
Timberline Resources Corp TLRS Total 0.1 -0.7 -
Toyota Motor Corp TM Total 267,580.3 23,553.5 8.8 %
Taylor Morrison Home Corp TMHC Total 1,036.4 94.4 9.11 %
Thermo Fisher Scientific Inc. TMO Life Sciences Solutions 1,080.4 332.7 30.79 %
Trilogy Metals Inc. TMQ Total -0.1 9.9 -
Timkensteel Corporation TMST Total 409.9 1.4 0.34 %
Toll Brothers Inc TOL Total 2,455.2 311.0 12.67 %
Tor Minerals International Inc TORM Total 8.1 -1.0 -
Tutor Perini Corp TPC Total 1,123.1 25.4 2.26 %
Techprecision Corp TPCS Total 3.6 0.2 4.99 %
Tri Pointe Group, Inc. TPH Total 775.1 64.0 8.25 %
Tribune Media Company TRCO Total 498.0 54.1 10.86 %
Trecora Resources TREC Total 73.4 -1.6 -
Tronox Ltd TROX Total 456.0 15.0 3.29 %
Tesla, Inc. TSLA Automotive sales 852.6 223.8 26.25 %
Andeavor TSO Total Refining 7,138.0 132.0 1.85 %
Andeavor TSO Total Retail 307.0 0.0 -
Toro Co TTC Total 539.3 39.0 7.24 %
Tetra Tech Inc TTEK Total 1,121.7 28.8 2.57 %
Torotel Inc TTLO Total 4.9 0.0 0.66 %
Twilio Inc TWLO Total 168.9 -27.1 -
Textron Inc TXT Defense & Intelligence 420.0 39.0 9.29 %
Universal Forest Products Inc UFPI Total 1,212.7 42.1 3.47 %
Ufp Technologies Inc UFPT Total 47.8 4.1 8.65 %
United Guardian Inc UG Total 6.8 1.3 19.28 %
Uniroyal Global Engineered Products, Inc. UNIR Total 24.3 0.8 3.12 %
Univar Inc. UNVR Total 2,130.7 49.6 2.33 %
Universal Stainless & Alloy Products Inc USAP Total 69.1 3.9 5.67 %
United States Lime & Minerals Inc USLM Total 35.3 4.6 12.91 %
U.s. Rare Earth Minerals, Inc USMN Total 0.0 -0.1 -
Utstarcom Holdings Corp. UTSI Total 98.3 7.0 7.1 %
United Technologies Corp UTX Pratt & Whitney 3,234.0 419.0 12.96 %
United Technologies Corp UTX Hamilton Sundstrand 3,457.0 572.0 16.55 %
United Technologies Corp UTX UTC Climate Controls & Security 4,279.0 771.0 18.02 %
Universal Security Instruments Inc UUU Total 4.5 -0.1 -
Universal Corp UVV Total 539.6 34.3 6.36 %
Vector Group Ltd VGR Total 484.6 20.5 4.23 %
Viavi Solutions Inc. VIAV Total 268.5 -15.3 -
Vicon Industries Inc VII Total 6.2 -1.7 -
Valero Energy Corp VLO Refining 20,529.0 1,641.0 7.99 %
Valero Energy Corp VLO Retail 801.0 12.0 1.5 %
Vanjia Corporation VNJA Total 0.0 -0.0 -
Verde Resources, Inc. VRDR Total 0.0 0.2 2405.98 %
Verso Corporation VRS Total 704.0 86.0 12.22 %
Vivint Solar, Inc. VSLR Total 77.8 -72.7 -
Vertex Energy Inc. VTNR Total 50.6 -2.4 -
Wec Energy Group, Inc. WEC Total Utility 1,442.3 256.6 17.79 %
Encore Wire Corp WIRE Total 340.7 23.7 6.95 %
Willdan Group, Inc. WLDN Total 71.4 3.3 4.64 %
William Lyon Homes WLH Total 534.7 31.8 5.95 %
Westlake Chemical Corp WLK Total 2,255.0 318.0 14.1 %
Westlake Chemical Partners Lp WLKP Total 363.7 83.8 23.04 %
Williams Companies Inc WMB Power 530.0 0.0 -
Advanced Drainage Systems, Inc. WMS Total 406.6 29.4 7.22 %
Worthington Industries Inc WOR Processed Steel Products 490.8 23.6 4.82 %
Westell Technologies Inc WSTL Total 10.1 -1.7 -
Watts Water Technologies Inc WTS Total 390.9 31.5 8.06 %
Weyerhaeuser Co WY Wood Products 1,023.0 85.0 8.31 %
Weyerhaeuser Co WY Pulp & Paper 471.0 79.0 16.77 %
United States Steel Corp X Flatt-rolled 2,070.0 -18.0 -
United States Steel Corp X Usse 546.0 18.0 3.3 %
Xcel Energy Inc XEL Electric Utility 2,667.5 438.0 16.42 %
Xinyuan Real Estate Co., Ltd. XIN Total 911.8 -22.0 -
Exxon Mobil Corp XOM Downstream 52,770.0 2,033.0 3.85 %
Xerium Technologies Inc XRM Total 125.3 -4.3 -
Xsunx Inc XSNX Total 0.4 -6.3 -
Xylem Inc. XYL Total 1,287.0 130.0 10.1 %
Yingli Green Energy Holding Co Ltd YGE Total 1,285.5 -530.4 -
Olympic Steel Inc ZEUS Total 457.0 11.6 2.54 %
Zoom Telephonics, Inc. ZMTP Total 9.0 0.3 3.84 %
APROX. MARKET   SUBTOTAL 1,116,898 94,284 8.44 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Honeywell International Inc. HON Transportation & Power Systems 0.0 0.0 -
Aecom ACM Total 5,305.9 105.4 1.99 %
Agco Corp AGCO Total 2,214.7 70.7 3.19 %
Argan Inc AGX Total 116.5 32.4 27.8 %
Allison Transmission Holdings Inc ALSN Total 692.0 167.0 24.13 %
Autoliv Inc ALV Total 2,033.0 118.0 5.8 %
Ameresco, Inc. AMRC Total 205.4 10.7 5.21 %
Artesian Resources Corporation ARTNA Total 21.9 3.9 17.92 %
Astec Industries Inc ASTE Total 256.6 6.9 2.69 %
Av Homes, Inc. AVHI Total 203.6 3.0 1.47 %
American Water Works Company, Inc. AWK Total 976.0 185.0 18.95 %
American States Water Co AWR Total 124.2 23.0 18.48 %
Barnes Group Inc B Total 369.8 39.1 10.58 %
Brunswick Corp BC Marine Engine 523.1 102.5 19.59 %
Blue Bird Corp BLBD Total 331.6 14.9 4.5 %
Borgwarner Inc. BWA Total 2,478.5 215.9 8.71 %
Bwx Technologies, Inc. BWXT Total 425.5 78.1 18.35 %
Beazer Homes Usa Inc BZH Total 767.9 60.6 7.89 %
China Automotive Systems Inc CAAS Total 112.1 0.4 0.34 %
Capstone Companies, Inc. CAPC Total 5.7 0.2 3.01 %
Caterpillar Inc CAT Machinery 6,643.0 310.0 4.67 %
Caterpillar Inc CAT Engines 5,585.0 0.0 -
Caterpillar Inc CAT Construction Industries Machinery 4,471.0 378.0 8.45 %
Chicago Bridge & Iron Co N V CBI Total 1,745.6 44.7 2.56 %
Century Communities, Inc. CCS Total 561.7 17.0 3.03 %
Cadiz Inc CDZI Total 0.1 -6.2 -
Concrete Leveling Systems Inc CLEV Total 0.0 -0.0 -
Cleartronic, Inc. CLRI Total 0.2 -0.1 -
Cnh Industrial N.v. CNHI Total 6,686.0 231.0 3.45 %
Cavco Industries Inc. CVCO Total 241.5 15.6 6.45 %
Commercial Vehicle Group, Inc. CVGI Total 225.0 12.6 5.59 %
California Water Service Group CWT Total 223.7 34.4 15.38 %
Deere & Co DE Agricultural equipment 5,308.0 472.0 8.89 %
Deere & Co DE Construction & forestry 1,532.0 129.0 8.42 %
Energy Focus, Inc EFOI Total 5.2 -1.9 -
Emcor Group Inc EME Total 1,953.9 70.8 3.62 %
Ford Motor Co F Automotive 35,818.0 2,330.0 6.51 %
Fortune Brands Home & Security, Inc. FBHS Security & Storage 147.3 16.6 11.27 %
Flir Systems Inc FLIR Security 60.0 7.9 13.11 %
Fluor Corp FLR Industrial†& Infrastructure 1,080.0 58.3 5.4 %
Fluor Corp FLR Global Services 125.4 14.1 11.24 %
Federal Signal Corp FSS Total 269.4 21.7 8.05 %
General Electric Company GE Aviation 6,001.0 1,353.0 22.55 %
Gencor Industries Inc GENC Total 20.5 3.8 18.36 %
Williams Industrial Services Group Inc. GLPW Total 53.5 -13.5 -
General Motors Company GM GMA 22,253.0 -5,156.0 -
General Motors Company GM GM Automotive 36,670.0 2,648.0 7.22 %
Generac Holdings Inc. GNRC Total 559.5 76.5 13.68 %
Hasbro Inc HAS North America 385.2 47.1 12.24 %
Hasbro Inc HAS International 362.8 25.4 6.99 %
Heico Corporation HEI Total 430.6 66.0 15.33 %
Hill International, Inc. HIL Total 101.9 -8.5 -
Honda Motor Co Ltd HMC Total 30,443.5 10,224.4 33.58 %
Harley Davidson Inc HOG Motorcycles total 812.4 0.0 -
Hovnanian Enterprises Inc HOV Total 614.8 46.2 7.51 %
Hyster-yale Materials Handling, Inc. HY Total 782.9 14.9 1.9 %
Itt Inc. ITT Motion Technologies 179.9 0.0 -
Illinois Tool Works Inc ITW Food Equipment 518.0 114.0 22.01 %
Johnson Controls International Plc JCI Interior experience 4,161.0 370.0 8.89 %
Johnson Controls International Plc JCI Interior experience Asia 663.0 99.0 14.93 %
Johnson Controls International Plc JCI Interior experience Europe 2,182.0 -66.0 -
Johnson Controls International Plc JCI Interior experience North America 2,167.0 147.0 6.78 %
Johnson Controls International Plc JCI Building efficiency 2,903.0 340.0 11.71 %
Jacobs Engineering Group Inc JEC Construction 775.9 0.0 -
Johnson Outdoors Inc JOUT Total 91.1 -5.0 -
Kandi Technologies Group, Inc. KNDI Total 38.0 -6.5 -
Lgi Homes, Inc. LGIH Total 380.4 37.7 9.92 %
Lsi Industries Inc LYTS Total 84.8 1.7 2.06 %
Mattel Inc MAT Total Domestic 1,069.1 230.2 21.53 %
Mattel Inc MAT International 798.6 142.6 17.85 %
Mdc Holdings Inc MDC Total 777.1 53.4 6.87 %
M I Homes Inc MHO Total 567.8 29.3 5.16 %
Modine Manufacturing Co MOD Total 548.9 38.7 7.05 %
Meritage Homes Corp MTH Total 160.3 54.1 33.78 %
Navistar International Corp NAV Total 2,606.0 177.0 6.79 %
Nuverra Environmental Solutions, Inc. NES Total 49.7 -7.1 -
National Presto Industries Inc NPK Total 81.7 6.4 7.8 %
Enpro Industries, Inc NPO Total 388.2 24.2 6.23 %
Nvr Inc NVR Total 1,852.4 195.8 10.57 %
New Home Co Inc. NWHM Total 159.1 2.5 1.54 %
Omnitek Engineering Corp. OMTK Total 0.4 -0.1 -
Oshkosh Corp OSK Total 2,057.0 151.3 7.36 %
Paccar Inc PCAR Truck 3,744.7 388.3 10.37 %
Pure Cycle Corp PCYO Total 3.9 0.4 9.16 %
Pultegroup Inc PHM Homebuilding 1,464.1 345.3 23.58 %
Polaris Industries Inc PII Total 1,651.4 95.5 5.78 %
Proto Labs Inc PRLB Total 115.4 20.9 18.14 %
Sigma Labs, Inc. SGLB Total 0.1 -1.3 -
Sjw Group SJW Total 124.9 15.8 12.65 %
Skyline Champion Corp SKY Total 355.4 -77.0 -
Sorl Auto Parts Inc SORL Total 108.6 -5.0 -
Spartan Motors Inc SPAR Total 226.2 5.2 2.32 %
Sterling Construction Co Inc STRL Total 291.3 10.2 3.49 %
Stanley Black & Decker, Inc. SWK Security solutions 512.0 60.8 11.88 %
Transdigm Group Inc TDG Total 1,049.4 228.8 21.8 %
Terex Corp TEX Construction 180.1 2.7 1.5 %
Gentherm Inc THRM Total 258.9 -0.4 -
Telkonet Inc TKOI Total 1.5 -1.3 -
Toyota Motor Corp TM Total 267,580.3 23,553.5 8.8 %
Taylor Morrison Home Corp TMHC Total 1,036.4 94.4 9.11 %
Toll Brothers Inc TOL Total 2,455.2 311.0 12.67 %
Tutor Perini Corp TPC Total 1,123.1 25.4 2.26 %
Tri Pointe Group, Inc. TPH Total 775.1 64.0 8.25 %
Terra Tech Corp. TRTC Total 7.1 -13.6 -
Tesla, Inc. TSLA Automotive sales 852.6 223.8 26.25 %
Toro Co TTC Total 539.3 39.0 7.24 %
Tetra Tech Inc TTEK Total 1,121.7 28.8 2.57 %
Universal Security Instruments Inc UUU Total 4.5 -0.1 -
Vicon Industries Inc VII Total 6.2 -1.7 -
Willdan Group, Inc. WLDN Total 71.4 3.3 4.64 %
William Lyon Homes WLH Total 534.7 31.8 5.95 %
Aqua America Inc WTR Total 226.1 78.4 34.68 %
Watts Water Technologies Inc WTS Total 390.9 31.5 8.06 %
York Water Co YORW Total 12.7 3.8 29.93 %
APROX. MARKET   SUBTOTAL 501,423 42,413 8.46 %





     
       
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