CSIMarket
 
3m Company  (MMM)
Other Ticker:  
 
    Sector  Conglomerates    Industry Conglomerates
   Industry Conglomerates
   Sector  Conglomerates
 
 

Customers by MMM's Divisions

(Most recent Quarter in Millions of $)



COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
3m Company MMM Electro & Communications 1,378.0 342.0 24.82 %
Cisco Systems Inc CSCO Total 12,803.0 2,863.0 22.36 %
Advanced Micro Devices Inc AMD Total 3,850.0 710.0 18.44 %
Agilent Technologies inc A Total 1,548.0 288.0 18.6 %
Adobe Inc ADBE Total 3,835.0 1,116.0 29.1 %
The Aes Corporation AES Contract Generation 2,367.0 367.0 15.5 %
American Electric Power Co Inc AEP Utility Ops. 3,600.0 388.0 10.78 %
Analog Devices Inc ADI Total 1,661.4 422.9 25.45 %
Apple Inc AAPL Total 81,434.0 21,744.0 26.7 %
Atomera Inc ATOM Total -0.1 -3.9 -
Applied Materials Inc AMAT Total 5,582.0 1,330.0 23.83 %
Centerpoint Energy Inc CNP Electric Transmission & Distribution 827.0 244.0 29.5 %
Ciena Corp CIEN Total 833.9 103.1 12.37 %
Cms energy Corporation CMS Electric utility 1,233.0 166.0 13.46 %
Consolidated Edison Inc ED Electric 2,041.0 438.0 21.46 %
Corning Inc GLW Telecommunications 800.0 77.0 9.63 %
Danaher Corporation DHR Professional Instrumentation 1,278.1 270.5 21.16 %
Dell Technologies Inc DELL Total 24,487.0 938.0 3.83 %
Dominion Energy Inc D Generation 1,920.0 391.0 20.36 %
Dominion Energy Inc D Energy 335.0 152.0 45.37 %
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 -
Edison International EIX Electric utility 3,763.0 487.0 12.94 %
Entergy Corporation ETR Total 2,844.8 339.1 11.92 %
Exelon Corporation EXC Generation 4,412.0 849.0 19.24 %
Itt Inc ITT Industrial Process 270.6 34.0 12.56 %
Hp inc HPQ Imaging & Printing 5,108.0 910.0 17.82 %
Hp inc HPQ Enterprise Systems 7,007.0 912.0 13.02 %
Hp inc HPQ Total 15,646.0 1,068.0 6.83 %
Intel Corporation INTC Total 19,631.0 5,061.0 25.78 %
International Business Machines Corporation IBM Hardware 1,492.0 -24.0 -
International Business Machines Corporation IBM Software 5,136.0 1,899.0 36.97 %
Jabil Inc JBL Total 7,214.6 170.0 2.36 %
Kla Corporation KLAC Total 1,803.8 567.2 31.44 %
Micron Technology Inc MU Total 7,422.0 1,735.0 23.38 %
Motorola Solutions inc MSI Personal Communications 2,420.0 72.0 2.98 %
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 %
Netapp Inc NTAP Total 1,621.0 239.0 14.74 %
Nvidia Corp NVDA MCP 243.9 -41.9 -
Nvidia Corp NVDA Total 5,661.0 1,912.0 33.77 %
Pg and e Corp PCG Total 5,215.0 401.0 7.69 %
Pitney Bowes Inc PBI Global Mailing 457.8 170.1 37.15 %
Ppl Corporation PPL International 552.0 249.0 45.11 %
Public Service Enterprise Group Incorporated PEG PSE&G 1,096.0 206.0 18.8 %
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 %
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 %
Sanmina Corporation SANM Total 1,699.7 47.0 2.77 %
Sempra Energy SRE San Diego Gas & Electric 1,230.0 170.0 13.82 %
The Southern Company SO Total 5,198.0 376.0 7.23 %
Texas Instruments Incorporated TXN Total 4,580.0 1,931.0 42.16 %
Thermo Fisher Scientific Inc TMO Measurement & Control 778.5 146.5 18.82 %
Unisys Corp UIS Total Technology 83.2 49.3 59.25 %
Xcel Energy Inc XEL Electric Utility 2,667.5 438.0 16.42 %
Xerox Holdings Corporation XRX Total 1,710.0 39.0 2.28 %
Xilinx Inc XLNX Total 878.6 206.3 23.49 %
Maxim Integrated Products Inc MXIM Total 665.0 220.1 33.09 %
Walt Disney Co DIS Media Networks 5,768.0 2,378.0 41.23 %
United Breweries Co Inc CCU Corporate & Other 25.6 48.7 190.39 %
Comcast corporation CMCSA Content 419.0 46.0 10.98 %
Qualcomm Inc QCOM Wireless & Internet 42.0 -54.0 -
Meredith Corporation MDP Broadcasting 130.1 40.0 30.72 %
Pultegroup Inc PHM Homebuilding 1,464.1 345.3 23.58 %
Kb Home KBH Total 1,440.9 143.4 9.95 %
Danaher Corporation DHR Industrial Technologies 807.7 196.8 24.37 %
Crane Co CR Aerospace 167.1 31.7 18.97 %
Itt Inc ITT Motion & Flow Control 386.0 49.0 12.69 %
Genuine Parts Co GPC Office Products 477.8 34.5 7.22 %
Genuine Parts Co GPC Electrical/electronic materials 125.6 8.8 6.97 %
Whirlpool Corp WHR Total 5,324.0 580.0 10.89 %
Stanley Black and Decker Inc SWK Consumer products 1,838.2 307.8 16.74 %
Stanley Black and Decker Inc SWK Industrial tools 479.3 85.4 17.82 %
Snap on Inc SNA Snap-on Dealer Group 380.6 282.9 74.33 %
Stanley Black and Decker Inc SWK Security solutions 512.0 60.8 11.88 %
Itt Inc ITT Defense Electronics 1,529.0 178.0 11.64 %
Northrop Grumman Corp NOC Electronic Systems 1,767.0 275.0 15.56 %
Lockheed Martin Corporation LMT Space Systems 1,930.0 232.0 12.02 %
Lockheed Martin Corporation LMT Electronic Systems 3,740.0 556.0 14.87 %
Honeywell International Inc HON Aerospace 3,820.0 833.0 21.81 %
General Dynamics Corporation GD Information Systems Technology 2,370.0 217.0 9.16 %
Boeing Co BA Network Systems 2,127.0 245.0 11.52 %
Boeing Co BA Support Systems 2,172.0 281.0 12.94 %
Caterpillar Inc CAT Machinery 6,643.0 310.0 4.67 %
Deere and Co DE Agricultural equipment 5,308.0 472.0 8.89 %
D r Horton Inc DHI Total 7,284.6 1,116.5 15.33 %
Intel Corporation INTC Mobility Group 2,512.0 1,221.0 48.61 %
Lennar Corp LEN Homebuilding total 2,232.3 319.0 14.29 %
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 Interior experience Asia 663.0 99.0 14.93 %
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 %
Equillium Inc EQ Voice 916.0 0.0 -
Verizon Communications Inc VZ Wireline 9,355.0 0.0 -
Wec Energy Group Inc WEC Total Utility 1,442.3 256.6 17.79 %
Windstream Holdings Inc WIN Total 1,185.3 -162.4 -
News Corporation NWSA Cable Network Programming 2,782.0 993.0 35.69 %
News Corporation NWSA Television 1,225.0 196.0 16 %
Kb Home KBH Total Homebuilding 840.2 31.3 3.72 %
D r Horton Inc DHI Home sales 2,857.9 569.0 19.91 %
Flir Systems Inc FLIR Commercial Vision Systems 65.4 17.6 26.87 %
Flir Systems Inc FLIR Government Systems 162.1 58.0 35.76 %
Agilent Technologies inc A Semiconductor & Board Test 629.0 57.0 9.06 %
Textron Inc TXT Defense & Intelligence 420.0 39.0 9.29 %
Amphenol Corporation APH Cable Products 81.4 10.2 12.53 %
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 %
General Electric Co GE Aviation 6,001.0 1,353.0 22.55 %
Dyne Therapeutics Inc DYN Power generation MW 195.0 -37.0 -
Dyne Therapeutics Inc DYN Power generation WE 19.0 -19.0 -
Terex Corporation TEX Construction 180.1 2.7 1.5 %
The Manitowoc Company inc MTW Foodservice equipment 425.3 70.4 16.55 %
Fluor Corporation FLR Industrial & Infrastructure 1,080.0 58.3 5.4 %
Emerson Electric Co EMR Total 4,431.0 568.0 12.82 %
At and t Inc T Wireless Service 15,095.0 0.0 -
At and t Inc T Wireline 17,487.0 3,861.0 22.08 %
Microchip Technology Incorporated MCHP Total 1,467.1 116.0 7.91 %
Comcast corporation CMCSA Phone 900.0 0.0 -
Ameren Corporation AEE Total Electric 1,705.0 0.0 -
Windstream Holdings Inc WIN Voice service 498.1 0.0 -
Juniper Networks Inc JNPR Infrastructure 925.4 0.0 -
Cisco Systems Inc CSCO Routers 1,793.0 0.0 -
Sempra Energy SRE Sempra Generation 356.0 77.0 21.63 %
Flowserve Corp FLS Pump Division 514.5 155.4 30.2 %
Johnson Controls International Plc JCI Interior experience 4,161.0 370.0 8.89 %
Eaton Corporation Plc ETN Aerospace 449.0 79.0 17.59 %
Graham Holdings Co GHC Television broadcasting 89.7 40.5 45.18 %
The E w Scripps Company SSP Broadcast television 157.4 31.7 20.14 %
Advanced Micro Devices Inc AMD Computing & Graphics  424.0 -181.0 -
Roper Technologies Inc ROP Industrial Technology 186.1 52.3 28.1 %
Roper Technologies Inc ROP Energy Systems & Controls 144.6 42.3 29.25 %
Dillard s inc DDS Construction 46.1 1.8 3.91 %
Nrg Energy Inc NRG Wholesale Power Generation 2,502.0 446.0 17.83 %
Nrg Energy Inc NRG Reliant Energy 2,329.0 88.0 3.78 %
Exelon Corporation EXC ComEd 1,222.0 126.0 10.31 %
Exelon Corporation EXC PECO 693.0 81.0 11.69 %
Danaher Corporation DHR Environmental 922.4 202.8 21.99 %
Adtran Inc ADTN Total 127.5 0.9 0.7 %
Te Connectivity ltd TEL Communications & Industrial Solutions 792.0 84.0 10.61 %
Te Connectivity ltd TEL Transportation Connectivity 1,508.0 272.0 18.04 %
Entergy Corporation ETR Electric Utility 2,246.1 0.0 -
Entergy Corporation ETR Wholesale 439.3 -3.5 -
Dell Technologies Inc DELL Storage 424.0 0.0 -
Beam Therapeutics Inc BEAM Home & hardware 1,111.5 62.8 5.65 %
Comcast corporation CMCSA NBC Broadcast Television 1,971.0 150.0 7.61 %
Genuine Parts Co GPC Electrical & electronic materials 194.7 0.0 -
Flir Systems Inc FLIR Surveillance 107.8 26.4 24.47 %
Flir Systems Inc FLIR Thermal Vision & Measurement 208.5 35.8 17.17 %
Ncr Corp NCR Emerging Industries 93.0 10.0 10.75 %
American Electric Power Co Inc AEP Generation and Marketing 802.0 91.0 11.35 %
Caterpillar Inc CAT Construction Industries Machinery 4,471.0 378.0 8.45 %
Motorola Solutions inc MSI Enterprise 600.0 57.0 9.5 %
Dyne Therapeutics Inc DYN Total Power Generation 1,232.0 147.0 11.93 %
Intel Corporation INTC Data Center Group 4,140.0 2,127.0 51.38 %
Intel Corporation INTC Other Intel Architecture Group 1,105.0 -620.0 -
Intel Corporation INTC PC Client Group 8,506.0 2,433.0 28.6 %
Dell Technologies Inc DELL Business 11,522.0 1,014.0 8.8 %
Fortune Brands Home and Security Inc FBHS Security & Storage 147.3 16.6 11.27 %
Newell Brands Inc NWL Newell Professional 535.4 70.6 13.19 %
Lam Research Corporation LRCX Total 3,847.7 1,071.1 27.84 %
Newell Brands Inc NWL Writing 459.5 114.1 24.83 %
Fox Corporation FOXA Television 1,049.0 196.0 18.68 %
Science Applicationsinternational Corporation SAIC Total 1,040.0 79.0 7.6 %
Leidos Holdings Inc LDOS Defense Solutions 879.0 74.0 8.42 %
Adt Inc ADT Total 1,685.9 -47.9 -
Flir Systems Inc FLIR Instruments 90.3 28.3 31.4 %
Flir Systems Inc FLIR Security 60.0 7.9 13.11 %
Motorola Solutions inc MSI Products 867.0 171.0 19.72 %
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 %
Eversource Energy ES Electric 1,543.7 318.4 20.63 %
Air Industries Group AIRI Total 13.7 -0.2 -
Astrotech Corp ASTC Total 0.1 -2.4 -
Astronics Corporation ATRO Total 105.9 -11.9 -
Aerovironment Inc AVAV Total 162.3 6.8 4.21 %
Cpi Aerostructures Inc CVU Total 25.4 1.3 5.01 %
Ducommun Incorporated DCO Total 157.2 6.7 4.26 %
Elbit Systems Ltd ESLT Total 4,662.6 238.0 5.1 %
Heico Corporation HEI Total 466.7 76.5 16.39 %
Kratos Defense and Security Solutions inc KTOS Total 194.2 1.9 0.98 %
National Presto Industries Inc NPK Total 81.0 9.0 11.1 %
Sigma Labs Inc SGLB Total 0.1 -1.8 -
Alamo Group Inc ALG Total 311.2 17.5 5.61 %
Gencor Industries Inc GENC Total 21.4 2.3 10.72 %
Miller Industries Inc MLR Total 169.9 3.2 1.87 %
Astec Industries Inc ASTE Total 284.4 8.7 3.06 %
Cnh Industrial N v CNHI Total 26,032.0 -438.0 -
Lgi Homes Inc LGIH Total 706.0 99.7 14.12 %
Emcor Group Inc EME Total 2,437.7 97.3 3.99 %
Ies Holdings Inc IESC Total 332.0 13.3 4.02 %
Goldfield Corp GV Total 48.4 1.1 2.25 %
Preformed Line Products Company PLPC Total 133.0 8.9 6.68 %
Tutor Perini Corporation TPC Total 1,207.6 25.1 2.08 %
The St Joe Company JOE Total 72.2 24.0 33.26 %
Toll Brothers Inc TOL Total 1,930.1 127.9 6.62 %
Stratus Properties Inc STRS Total 14.5 15.7 107.93 %
Taylor Morrison Home Corp TMHC Total 1,717.2 124.8 7.27 %
Tri Pointe Homes Inc TPH Total 1,018.1 117.9 11.58 %
Century Communities Inc CCS Total 1,042.9 117.9 11.31 %
Kadant Inc KAI Total 172.5 16.8 9.74 %
Gorman Rupp Co GRC Total 93.0 7.1 7.63 %
Avnet Inc AVT Total 4,916.7 107.5 2.19 %
Optical Cable Corp OCC Total 15.7 3.4 21.51 %
Belden Inc BDC Total 536.4 28.7 5.36 %
Commscope Holding Company inc COMM Total 2,072.0 -97.6 -
Xylem Inc XYL Total 1,256.0 87.0 6.93 %
Graco Inc GGG Total 507.2 110.1 21.71 %
Kaman Corporation KAMN Total 171.6 8.0 4.65 %
Omega Flex Inc OFLX Total 30.9 6.3 20.4 %
Ceco Environmental Corp CECE Total 71.9 1.3 1.81 %
Hudson Technologies Inc HDSN Total 33.8 -1.1 -
Sifco Industries Inc SIF Total 24.9 -1.5 -
Transdigm Group Incorporated TDG Total 1,194.0 105.0 8.79 %
Concrete Leveling Systems Inc CLEV Total 0.0 -0.0 -
Vanjia Corp VNJA Total 0.0 -0.0 -
Nobility Homes Inc NOBH Total 14.7 1.7 11.7 %
Agco Corp AGCO Total 2,378.7 151.4 6.36 %
Arts Way Manufacturing Co Inc ARTW Total 5.4 -0.3 -
Amtech Systems Inc ASYS Total 19.8 -0.2 -
Avid Technology Inc AVID Total 94.4 4.4 4.65 %
Axcelis Technologies Inc ACLS Total 132.8 16.5 12.41 %
Brooks Automation Inc BRKS Total 286.6 23.7 8.29 %
Canon Inc CAJ Total 28,637.6 869.4 3.04 %
Applied Optoelectronics Inc AAOI Total 49.7 -15.6 -
Acacia Communications Inc ACIA Total 158.5 24.3 15.33 %
Autoliv Inc ALV Total 2,022.0 105.0 5.19 %
Commercial Vehicle Group Inc CVGI Total 245.1 8.5 3.46 %
Lear Corp LEA Total 5,354.4 225.8 4.22 %
Modine Manufacturing Co MOD Total 514.9 -14.6 -
Stoneridge inc SRI Total 193.8 0.1 0.07 %
Strattec Security Corp STRT Total 121.6 5.9 4.86 %
Federal Signal Corporation FSS Total 334.7 29.7 8.87 %
Irobot Corporation IRBT Total 303.3 7.4 2.45 %
The Toro Company TTC Total 1,149.1 142.2 12.37 %
Benchmark Electronics Inc BHE Total 505.7 7.9 1.57 %
Capstone Companies Inc CAPC Total 0.4 -0.5 -
Energy Focus Inc EFOI Total 2.6 -1.6 -
Esco Technologies inc ESE Total 167.1 16.3 9.76 %
Electronic Systems Technology Inc ELST Total 0.5 0.1 32.03 %
Graybar Electric Company Inc GRAYB Total 1,900.5 47.3 2.49 %
Houston Wire and Cable Co HWCC Total 67.0 0.2 0.24 %
Orion Energy Systems Inc OESX Total 35.5 22.1 62.33 %
Lsi Industries Inc LYTS Total 72.2 1.5 2.04 %
Richardson Electronics Ltd RELL Total 45.2 0.2 0.5 %
Tessco Technologies Incorporated TESS Total 34.6 -2.9 -
Universal Security Instruments Inc UUU Total 3.0 -0.5 -
Addvantage Technologies Group Inc AEY Total 12.7 -3.1 -
Mdu Resources Group Inc MDU Total 1,227.9 52.1 4.25 %
Clear Channel Outdoor Holdings Inc CCO Total 531.1 -124.4 -
Raven Industries Inc RAVN Total 112.5 9.6 8.55 %
Uas Drone Corp USDR Total 0.5 0.3 50.2 %
Arrow Electronics Inc ARW Total 8,385.9 207.2 2.47 %
Barnes Group Inc B Total 321.2 24.5 7.63 %
Babcock and Wilcox Enterprises Inc BW Total 168.2 -15.4 -
Cemtrex Inc CETX Total 9.3 2.4 26.39 %
Franklin Electric Co Inc FELE Total 333.0 28.2 8.46 %
Generac Holdings Inc GNRC Total 807.4 149.9 18.57 %
Highway Holdings Ltd HIHO Total 9.2 -0.5 -
Enpro Industries Inc NPO Total 279.3 18.1 6.48 %
Quanex Building Products Corporation NX Total 230.1 7.9 3.41 %
Park Ohio Industries Inc PKOH Total 359.6 5.6 1.56 %
Proto Labs Inc PRLB Total 116.1 3.7 3.2 %
Techprecision Corp TPCS Total 4.0 0.2 5.32 %
Encore Wire Corp WIRE Total 744.4 183.1 24.59 %
Macquarie Infrastructure Corporation MIC Total 264.2 13.8 5.22 %
Cleartronic Inc CLRI Total 0.4 0.1 16.82 %
Inpixon INPX Total 3.0 -12.5 -
Nutanix Inc NTNX Total 344.5 -123.6 -
Nuance Communications Inc NUAN Total 345.8 14.9 4.31 %
Twilio Inc TWLO Total 668.9 -227.9 -
Appian Corporation APPN Total 88.9 -13.6 -
Amkor Technology Inc AMKR Total 1,406.5 126.5 8.99 %
Alpha And Omega Semiconductor Limited AOSL Total 169.2 15.0 8.85 %
Ase Technology Holding Co Ltd ASX Total 16,986.4 1,020.4 6.01 %
Ambarella Inc AMBA Total 70.1 -10.8 -
Broadcom Inc AVGO Total 6,610.0 1,493.0 22.59 %
Cirrus Logic Inc CRUS Total 277.3 17.2 6.21 %
Cts Corporation CTS Total 129.6 0.9 0.68 %
Diodes Inc DIOD Total 413.1 40.6 9.82 %
Dsp Group Inc DSPG Total 32.6 -1.3 -
Emcore Corp EMKR Total 38.4 4.4 11.41 %
Formfactor inc FORM Total 188.1 17.9 9.52 %
Gsi Technology Inc GSIT Total 7.7 -5.0 -
Iec Electronics Corp IEC Total 45.4 -0.3 -
Inphi Corp IPHI Total 187.5 -12.0 -
Kimball Electronics Inc KE Total 310.3 10.5 3.37 %
Kulicke and Soffa Industries Inc KLIC Total 340.2 71.3 20.97 %
Semileds Corp LEDS Total 1.4 -0.1 -
Lattice Semiconductor Corp LSCC Total 115.7 18.8 16.26 %
Mosys Inc MOSY Total 1.3 -1.4 -
Monolithic Power Systems Inc MPWR Total 254.5 45.4 17.85 %
Everspin Technologies Inc MRAM Total 10.3 -0.5 -
Marvell Technology Inc MRVL Total 528.1 1,578.9 298.99 %
Macom Technology Solutions Holdings Inc MTSI Total 152.6 15.0 9.83 %
Magnachip Semiconductor Corporation MX Total 123.0 -7.5 -
Maxlinear Inc MXL Total 205.4 0.7 0.36 %
Netlist Inc NLST Total 14.9 -4.0 -
Neophotonics Corp NPTN Total 60.9 -10.7 -
Nve Corp NVEC Total 7.2 3.6 50.04 %
On Semiconductor Corp ON Total 1,481.7 90.3 6.09 %
Osi Systems Inc OSIS Total 283.8 18.8 6.62 %
Park Aerospace Corp PKE Total 13.6 2.7 20.19 %
Plexus Corp PLXS Total 880.9 41.8 4.74 %
Power Integrations Inc POWI Total 180.1 41.9 23.25 %
Pixelworks Inc PXLW Total 9.3 -8.1 -
Qorvo Inc QRVO Total 1,072.7 -221.9 -
Quicklogic Corp QUIK Total 2.2 -1.7 -
Rubicon Technology Inc RBCN Total 0.7 -0.8 -
Resonant Inc RESN Total 0.6 -8.8 -
Rambus Inc RMBS Total 70.4 -2.6 -
Sigmatron International Inc SGMA Total 76.0 1.6 2.06 %
Silicon Laboratories Inc SLAB Total 169.5 19.9 11.76 %
Semtech Corp SMTC Total 170.4 23.5 13.79 %
Smtc Corporation SMTX Total 101.4 -3.6 -
Skyworks Solutions Inc SWKS Total 1,116.4 337.8 30.26 %
Tower Semiconductor Ltd TSEM Total 1,265.7 83.3 6.58 %
Ttm Technologies Inc TTMI Total 526.4 -3.2 -
Viavi Solutions Inc VIAV Total 303.4 37.8 12.46 %
Taiwan Semiconductor Manufacturing Co Ltd TSM Total 47,694.3 18,198.3 38.16 %
Alpine 4 Holdings Inc ALPINE Total 8.7 -6.1 -
Amplitech Group Inc AMPG Total 0.5 -0.9 -
Blonder Tongue Laboratories Inc BDR Total 3.3 -0.4 -
Calamp Corp CAMP Total 79.7 -1.9 -
Clearfield Inc CLFD Total 38.7 6.1 15.74 %
Clearone Inc CLRO Total 7.0 -1.7 -
Comtech Telecommunications Corp CMTL Total 139.4 0.8 0.57 %
Franklin Wireless Corp FKWL Total 44.3 4.2 9.47 %
Gilat Satellite Networks Ltd GILT Total 165.9 34.9 21.05 %
Fabrinet FN Total 479.3 37.5 7.82 %
Harmonic Inc HLIT Total 111.6 -6.1 -
Turtle Beach Corporation HEAR Total 93.1 8.8 9.5 %
Infinera Corp INFN Total 330.9 -48.3 -
Iteris inc ITI Total 31.7 -0.4 -
Communications Systems Inc JCS Total 10.2 -2.2 -
Kvh Industries Inc KVHI Total 43.4 -5.7 -
Lumentum Holdings Inc LITE Total 419.5 478.4 114.04 %
Netgear Inc NTGR Total 308.8 17.8 5.78 %
Bk Technologies Corp RWC Total 8.6 -0.7 -
Seachange International Inc SEAC Total 5.1 -4.1 -
Dish Network Corporation DISH Total 4,497.9 641.6 14.26 %
Technical Communications Corp TCCO Total 0.6 -0.3 -
Utstarcom Holdings Corp UTSI Total 24.3 -23.7 -
Viasat Inc VSAT Total 595.8 14.5 2.43 %
Asml Holding Nv ASML Total 15,655.9 3,980.1 25.42 %
Westell Technologies Inc WSTL Total 6.6 -0.1 -
Zoom Telephonics Inc ZMTP Total 14.9 -1.4 -
Ii vi Incorporated IIVI Total 783.2 81.1 10.35 %
Cree Inc CREE Total 137.3 -108.1 -
APROX. MARKET   SUBTOTAL 726,651 117,141 16.12 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
3m Company MMM Industrial & Transportation 2,575.0 580.0 22.52 %
Lennar Corp LEN Homebuilding total 2,232.3 319.0 14.29 %
Alcoa Corp AA Primary Metals 1,249.0 -59.0 -
Century Aluminum Company CENX Total 444.0 2.3 0.52 %
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 %
Allegheny Technologies Incorporated ATI FlatRolled Products 358.0 -91.8 -
Allegheny Technologies Incorporated ATI High Performance Metals 474.7 18.8 3.96 %
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 %
Campbell Soup Co CPB Biscuits 553.0 73.0 13.2 %
Campbell Soup Co CPB Total 1,984.0 160.0 8.06 %
Caterpillar Inc CAT Machinery 6,643.0 310.0 4.67 %
Corning Inc GLW Life sciences 211.0 18.0 8.53 %
Deere and Co DE Agricultural equipment 5,308.0 472.0 8.89 %
Deere and Co DE Construction & forestry 1,532.0 129.0 8.42 %
Dupont De Nemours Inc DD Agriculture & Nutrition 3,828.0 1,136.0 29.68 %
Dupont De Nemours Inc DD Electronic & Communication Technologies 532.0 5.0 0.94 %
Fluor Corporation FLR Industrial & Infrastructure 1,080.0 58.3 5.4 %
Ford Motor Co F Automotive 35,818.0 2,330.0 6.51 %
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 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 %
General Motors Financial Company Inc GM GMA 22,253.0 -5,156.0 -
Genuine Parts Co GPC Office Products 477.8 34.5 7.22 %
Honeywell International Inc HON Aerospace 3,820.0 833.0 21.81 %
Illinois Tool Works Inc ITW Industrial Packaging 496.0 79.0 15.93 %
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 %
Kb Home KBH Total 1,440.9 143.4 9.95 %
Kimberly Clark Corporaton KMB Personal Care 2,306.0 473.0 20.51 %
Kimberly Clark Corporaton KMB Consumer Tissue 1,499.0 260.0 17.34 %
Louisiana pacific Corporation LPX OSB 200.0 -11.1 -
Louisiana pacific Corporation LPX Engineered Wood Products 74.4 -0.9 -
Masco Corporation MAS Plumbing Products 853.0 137.0 16.06 %
Paccar Inc PCAR Truck 3,744.7 388.3 10.37 %
Parker hannifin Corporation PH Aerospace 544.6 74.0 13.59 %
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 %
Ppg Industries Inc PPG Glass 278.0 32.0 11.51 %
Pultegroup Inc PHM Homebuilding 1,464.1 345.3 23.58 %
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 %
The Sherwin williams Company SHW Total 5,379.8 648.6 12.06 %
Stanley Black and Decker Inc SWK Security solutions 512.0 60.8 11.88 %
Willdan Group inc WLDN Total 79.1 -3.8 -
Kb Home KBH Total Homebuilding 840.2 31.3 3.72 %
D r Horton Inc DHI Home sales 2,857.9 569.0 19.91 %
O i Glass Inc OI Total 1,500.0 -91.0 -
International Paper Company IP Industrial Packaging 3,642.0 553.0 15.18 %
International Paper Company IP Consumer Packaging 809.0 -153.0 -
Terex Corporation TEX Construction 180.1 2.7 1.5 %
The Clorox Company CLX North America 1,274.0 427.0 33.52 %
Conagra Brands Inc CAG Total Consumer Foods 1,859.7 303.8 16.34 %
Johnson Controls International Plc JCI Interior experience 4,161.0 370.0 8.89 %
Eaton Corporation Plc ETN Aerospace 449.0 79.0 17.59 %
Hormel Foods Corporation HRL Grocery Products 388.1 53.1 13.68 %
Campbell Soup Co CPB U.S. Simple Meals 505.0 118.0 23.37 %
Dana Inc DAN Power Technologies 254.0 38.0 14.96 %
Harley davidson Inc HOG Motorcycles total 812.4 0.0 -
The Clorox Company CLX Lifestyle 245.0 -87.0 -
Dillard s inc DDS Construction 46.1 1.8 3.91 %
General Motors Financial Company Inc GM GM Automotive 36,670.0 2,648.0 7.22 %
Beam Therapeutics Inc BEAM Home & hardware 1,111.5 62.8 5.65 %
Caterpillar Inc CAT Construction Industries Machinery 4,471.0 378.0 8.45 %
Dupont De Nemours Inc DD Agriculture 1,093.0 -63.0 -
Fortune Brands Home and Security Inc FBHS Plumbing & Accessories 364.4 80.9 22.2 %
Fortune Brands Home and Security Inc FBHS Advanced Material Windows & Door Systems 123.8 16.7 13.49 %
Fortune Brands Home and Security Inc FBHS Security & Storage 147.3 16.6 11.27 %
Kellogg Company K U.S. Specialty 281.0 63.0 22.42 %
Kellogg Company K U.S. Morning Foods & Kashi 762.0 110.0 14.44 %
Newell Brands Inc NWL Writing 459.5 114.1 24.83 %
Tesla Inc TSLA Automotive sales 852.6 223.8 26.25 %
Mondel z International Inc MDLZ Biscuits 2,904.0 0.0 -
Adt Inc ADT Total 1,685.9 -47.9 -
Thermo Fisher Scientific Inc TMO Life Sciences Solutions 1,080.4 332.7 30.79 %
Flir Systems Inc FLIR Security 60.0 7.9 13.11 %
Aecom ACM Total 3,265.6 45.3 1.39 %
Air Industries Group AIRI Total 13.7 -0.2 -
Astronics Corporation ATRO Total 105.9 -11.9 -
Cpi Aerostructures Inc CVU Total 25.4 1.3 5.01 %
Ducommun Incorporated DCO Total 157.2 6.7 4.26 %
Alamo Group Inc ALG Total 311.2 17.5 5.61 %
Gencor Industries Inc GENC Total 21.4 2.3 10.72 %
Miller Industries Inc MLR Total 169.9 3.2 1.87 %
Astec Industries Inc ASTE Total 284.4 8.7 3.06 %
Cnh Industrial N v CNHI Total 26,032.0 -438.0 -
Lgi Homes Inc LGIH Total 706.0 99.7 14.12 %
Emcor Group Inc EME Total 2,437.7 97.3 3.99 %
Beazer Homes Usa Inc BZH Total 570.9 37.1 6.5 %
New Home Co Inc NWHM Total 140.5 4.8 3.4 %
Meritage Homes Corp MTH Total 347.3 167.4 48.19 %
Nvr Inc NVR Total 2,041.4 248.8 12.19 %
Covanta Holding Corporation CVA Total 506.0 -19.0 -
M d c Holdings Inc MDC Total 1,367.8 154.4 11.28 %
Mi Homes Inc MHO Total 961.0 107.6 11.2 %
Hovnanian Enterprises Inc HOV Total 574.7 19.0 3.3 %
Hill International inc HIL Total 87.1 -2.6 -
Toll Brothers Inc TOL Total 1,930.1 127.9 6.62 %
Lennar Corp LEN Total 6,430.2 836.8 13.01 %
Tutor Perini Corporation TPC Total 1,207.6 25.1 2.08 %
The St Joe Company JOE Total 72.2 24.0 33.26 %
Stratus Properties Inc STRS Total 14.5 15.7 107.93 %
Taylor Morrison Home Corp TMHC Total 1,717.2 124.8 7.27 %
Tri Pointe Homes Inc TPH Total 1,018.1 117.9 11.58 %
Century Communities Inc CCS Total 1,042.9 117.9 11.31 %
Albany International Corp AIN Total 234.5 31.4 13.41 %
Polaris Inc PII Total 2,117.2 158.5 7.49 %
Seafarer Exploration Corp SFRX Total 0.0 -0.6 -
Sifco Industries Inc SIF Total 24.9 -1.5 -
Concrete Leveling Systems Inc CLEV Total 0.0 -0.0 -
Sterling Construction Company Inc STRL Total 315.3 11.7 3.7 %
Agco Corp AGCO Total 2,378.7 151.4 6.36 %
Arts Way Manufacturing Co Inc ARTW Total 5.4 -0.3 -
Autoliv Inc ALV Total 2,022.0 105.0 5.19 %
Commercial Vehicle Group Inc CVGI Total 245.1 8.5 3.46 %
Modine Manufacturing Co MOD Total 514.9 -14.6 -
Strattec Security Corp STRT Total 121.6 5.9 4.86 %
Blue Bird Corporation BLBD Total 164.7 -0.6 -
Federal Signal Corporation FSS Total 334.7 29.7 8.87 %
Kandi Technologies Group Inc KNDI Total 16.0 -6.4 -
Navistar International Corporation NAV Total 2,162.0 168.0 7.77 %
Oshkosh Corporation OSK Total 2,208.8 213.9 9.68 %
Rev Group Inc REVG Total 643.6 20.6 3.2 %
Toyota Motor Corp TM Total 5,956.0 320.0 5.37 %
The Toro Company TTC Total 1,149.1 142.2 12.37 %
Uniroyal Global Engineered Products Inc UNIR Total 21.9 1.0 4.73 %
Tetra Tech inc TTEK Total 289.3 51.9 17.95 %
Callaway Golf Company ELY Total 651.6 272.5 41.81 %
Fox Factory Holding Corp FOXF Total 281.1 38.0 13.51 %
Universal Security Instruments Inc UUU Total 3.0 -0.5 -
B and g Foods inc BGS Total 505.1 26.9 5.32 %
Flowers Foods Inc FLO Total 1,302.2 71.7 5.5 %
The Hain Celestial Group Inc HAIN Total 492.6 34.3 6.95 %
Kraft Heinz Co KHC Total 6,394.0 568.0 8.88 %
J and j Snack Foods Corp JJSF Total 324.3 28.9 8.91 %
Mamamancinis Holdings Inc MMMB Total 10.3 0.6 6.12 %
Nightfood Holdings Inc NGTF Total 0.1 -1.9 -
Nate s Food Co NHMD Total -0.0 1.6 -
Post Holdings Inc POST Total 1,483.3 110.8 7.47 %
Future Fintech Group Inc SPU Total 0.0 -0.8 -
Bridgford Foods Corp BRID Total 50.5 -1.8 -
Treehouse Foods Inc THS Total 1,057.3 1.5 0.14 %
Fomo Corp ETFM Total 0.2 -2.4 -
Novelis Inc NVLCN Total 3,631.0 176.0 4.85 %
Clearwater Paper Corporation CLW Total 425.9 12.1 2.84 %
Resolute Forest Products Inc RFP Total 873.0 88.0 10.08 %
Boise Cascade Company BCC Total 1,822.3 149.2 8.18 %
Koppers Holdings Inc KOP Total 407.5 25.8 6.33 %
Ufp Industries inc UFPI Total 1,825.0 104.3 5.71 %
Crown Holdings Inc CCK Total 2,856.0 173.0 6.06 %
Packaging Corp Of America PKG Total 1,807.2 166.5 9.21 %
Silgan Holdings Inc SLGN Total 1,238.1 73.3 5.92 %
Sonoco Products Company SON Total 1,353.3 72.3 5.34 %
Arconic Corporation ARNC Total 1,675.0 52.0 3.1 %
Haynes International inc HAYN Total 88.1 0.4 0.48 %
Universal Stainless and Alloy Products inc USAP Total 38.5 -2.5 -
Centrus Energy Corp LEU Total 55.6 5.1 9.17 %
Coeur Mining Inc CDE Total 214.9 32.1 14.96 %
Dynaresource Inc DYNR Total 4.9 0.3 5.9 %
Gold Resource Corporation GORO Total 30.8 1.3 4.16 %
Hecla Mining Co HL Total 259.2 66.4 25.63 %
Inception Mining Inc IMII Total 1.5 -5.4 -
Comstock Mining Inc LODE Total 0.0 8.2 16882.95 %
Mcewen Mining Inc MUX Total 23.7 -12.5 -
Royal Gold inc RGLD Total 142.6 54.2 38.01 %
Southern Copper Corp SCCO Total 2,897.0 936.4 32.32 %
Star Gold Corp SRGZ Total 0.0 -0.2 -
Tuanche Ltd TC Total 50.6 -24.9 -
Thunder Mountain Gold Inc THMG Total 0.3 -0.0 -
Verde Resources Inc VRDR Total 0.0 -0.1 -
Celanese Corporation CE Total 2,198.0 540.0 24.57 %
Landec Corporation LNDC Total 139.8 -2.9 -
Mannatech Inc MTEX Total 38.3 2.2 5.73 %
Natural Alternatives International Inc NAII Total 46.3 1.9 4.14 %
Dupont De Nemours Inc DD Nutrition & Health 810.0 317.0 39.14 %
Ocean Bio Chem Inc OBCI Total 13.1 1.9 14.5 %
Stepan Company SCL Total 537.7 40.6 7.55 %
Univar Solutions Inc UNVR Total 2,155.4 150.0 6.96 %
Aptargroup inc ATR Total 811.0 55.3 6.82 %
Berry Global Group Inc BERY Total 3,370.0 181.0 5.37 %
Verso Corporation VRS Total 282.0 -90.0 -
Greif Inc GEF Total 1,340.6 154.0 11.49 %
Honda Motor Co Ltd HMC Total 118,717.5 6,268.6 5.28 %
Kaiser Aluminum Corporation KALU Total 741.0 -22.4 -
Enpro Industries Inc NPO Total 279.3 18.1 6.48 %
Quanex Building Products Corporation NX Total 230.1 7.9 3.41 %
Park Ohio Industries Inc PKOH Total 359.6 5.6 1.56 %
Techprecision Corp TPCS Total 4.0 0.2 5.32 %
Watts Water Technologies Inc WTS Total 413.3 41.7 10.09 %
Nuverra Environmental Solutions Inc NES Total 23.7 -7.6 -
Cleartronic Inc CLRI Total 0.4 0.1 16.82 %
Iec Electronics Corp IEC Total 45.4 -0.3 -
Plexus Corp PLXS Total 880.9 41.8 4.74 %
Smtc Corporation SMTX Total 101.4 -3.6 -
Viavi Solutions Inc VIAV Total 303.4 37.8 12.46 %
APROX. MARKET   SUBTOTAL 447,223 27,484 6.15 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
3m Company MMM Display & Graphics 910.0 152.0 16.7 %
Apple Inc AAPL Total 81,434.0 21,744.0 26.7 %
Boeing Co BA Support Systems 2,172.0 281.0 12.94 %
Danaher Corporation DHR Professional Instrumentation 1,278.1 270.5 21.16 %
Dell Technologies Inc DELL Total 24,487.0 938.0 3.83 %
Hp inc HPQ Personal Systems 7,491.0 222.0 2.96 %
Hp inc HPQ Enterprise Systems 7,007.0 912.0 13.02 %
Honeywell International Inc HON Aerospace 3,820.0 833.0 21.81 %
International Business Machines Corporation IBM Hardware 1,492.0 -24.0 -
Science Applicationsinternational Corporation SAIC Total 1,040.0 79.0 7.6 %
Lockheed Martin Corporation LMT Space Systems 1,930.0 232.0 12.02 %
Flir Systems Inc FLIR Government Systems 162.1 58.0 35.76 %
Eaton Corporation Plc ETN Aerospace 449.0 79.0 17.59 %
Flir Systems Inc FLIR Surveillance 107.8 26.4 24.47 %
Dell Technologies Inc DELL Business 11,522.0 1,014.0 8.8 %
Leidos Holdings Inc LDOS Defense Solutions 879.0 74.0 8.42 %
Garmin Ltd GRMN Aviation 102.3 27.4 26.8 %
Garmin Ltd GRMN Total 1,326.9 317.0 23.89 %
Air Industries Group AIRI Total 13.7 -0.2 -
Astronics Corporation ATRO Total 105.9 -11.9 -
Aerovironment Inc AVAV Total 162.3 6.8 4.21 %
Cpi Aerostructures Inc CVU Total 25.4 1.3 5.01 %
Kratos Defense and Security Solutions inc KTOS Total 194.2 1.9 0.98 %
Ducommun Incorporated DCO Total 157.2 6.7 4.26 %
Daktronics Inc DAKT Total 116.9 0.3 0.22 %
Avnet Inc AVT Total 4,916.7 107.5 2.19 %
Seafarer Exploration Corp SFRX Total 0.0 -0.6 -
Sifco Industries Inc SIF Total 24.9 -1.5 -
Irobot Corporation IRBT Total 303.3 7.4 2.45 %
Tessco Technologies Incorporated TESS Total 34.6 -2.9 -
Arrow Electronics Inc ARW Total 8,385.9 207.2 2.47 %
Matthews International Corp MATW Total 428.4 3.4 0.79 %
Innerworkings Inc INWK Total 203.3 -7.9 -
Vivint Solar Inc VSLR Total 106.4 -84.4 -
Jinkosolar Holding Co ltd JKS Total 5,383.8 51.4 0.95 %
Sunrun Inc RUN Total 334.8 -204.3 -
Solaredge Technologies Inc SEDG Total 405.5 30.1 7.42 %
Inpixon INPX Total 3.0 -12.5 -
Nutanix Inc NTNX Total 344.5 -123.6 -
Enphase Energy Inc ENPH Total 316.1 39.4 12.45 %
Beam Global EVSI Total 1.4 -1.3 -
Iec Electronics Corp IEC Total 45.4 -0.3 -
Semileds Corp LEDS Total 1.4 -0.1 -
Plexus Corp PLXS Total 880.9 41.8 4.74 %
Rubicon Technology Inc RBCN Total 0.7 -0.8 -
Smtc Corporation SMTX Total 101.4 -3.6 -
Sunpower Corp SPWR Total 306.4 -46.2 -
Viavi Solutions Inc VIAV Total 303.4 37.8 12.46 %
Iteris inc ITI Total 31.7 -0.4 -
Vuzix Corp VUZI Total 3.9 -6.6 -
APROX. MARKET   SUBTOTAL 170,343 27,117 15.92 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
3m Company MMM Protection Services 904.0 162.0 17.92 %
Deluxe Corporation DLX Total 441.3 24.3 5.51 %
Intuit Inc INTU QuickBooks 220.0 0.0 -
Cintas Corp CTAS First Aid, Safety & Fire Protection 150.6 18.1 12.01 %
Pultegroup Inc PHM Homebuilding 1,464.1 345.3 23.58 %
Kb Home KBH Total 1,440.9 143.4 9.95 %
Deluxe Corporation DLX Financial Services 110.9 23.4 21.07 %
Deluxe Corporation DLX Direct Checks 40.0 14.1 35.37 %
D r Horton Inc DHI Total 7,284.6 1,116.5 15.33 %
Lennar Corp LEN Homebuilding total 2,232.3 319.0 14.29 %
Kb Home KBH Total Homebuilding 840.2 31.3 3.72 %
D r Horton Inc DHI Home sales 2,857.9 569.0 19.91 %
Dillard s inc DDS Construction 46.1 1.8 3.91 %
Big Lots Inc BIG Home 134.0 0.0 -
Intuit Inc INTU Total Small Business segment 539.0 162.0 30.06 %
Lgi Homes Inc LGIH Total 706.0 99.7 14.12 %
The St Joe Company JOE Total 72.2 24.0 33.26 %
Toll Brothers Inc TOL Total 1,930.1 127.9 6.62 %
Stratus Properties Inc STRS Total 14.5 15.7 107.93 %
Taylor Morrison Home Corp TMHC Total 1,717.2 124.8 7.27 %
Tri Pointe Homes Inc TPH Total 1,018.1 117.9 11.58 %
Century Communities Inc CCS Total 1,042.9 117.9 11.31 %
Vanjia Corp VNJA Total 0.0 -0.0 -
Nobility Homes Inc NOBH Total 14.7 1.7 11.7 %
APROX. MARKET   SUBTOTAL 24,318 3,398 13.97 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
3m Company MMM Health Care 1,346.0 432.0 32.1 %
Johnson and Johnson JNJ Med. Dev. & Diag. 6,358.0 3,013.0 47.39 %
Procter and Gamble Co PG Baby & Family Care 4,658.0 1,111.0 23.85 %
Tenet Healthcare Corp THC Total 4,954.0 257.0 5.19 %
Davita Inc DVA Total 2,820.0 291.5 10.34 %
Kimberly Clark Corporaton KMB Personal Care 2,306.0 473.0 20.51 %
Kb Home KBH Total 1,440.9 143.4 9.95 %
Masco Corporation MAS Other Specialty Products 206.0 23.0 11.17 %
Corning Inc GLW Life sciences 211.0 18.0 8.53 %
Mckesson Corporation MCK Pharmaceutical Solutions 46,469.0 926.0 1.99 %
Amerisourcebergen Corp ABC Total 49,154.2 434.0 0.88 %
Cardinal Health Inc CAH Pharmaceutical 24,675.0 534.0 2.16 %
Danaher Corporation DHR Life Sciences & Diagnostics 1,997.6 214.8 10.75 %
Medtronic Plc MDT SURGICAL TECHNOLOGIES 410.0 0.0 -
Thermo Fisher Scientific Inc TMO Life Sciences Solutions 1,080.4 332.7 30.79 %
National Presto Industries Inc NPK Total 81.0 9.0 11.1 %
Crown Crafts Inc CRWS Total 21.8 0.2 1.09 %
Fresenius Medical Care Ag and Co Kgaa FMS Total 20,002.2 1,608.1 8.04 %
APROX. MARKET   SUBTOTAL 166,845 9,389 5.63 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
3m Company MMM Consumer & Office 1,162.0 293.0 25.22 %
Walmart Inc WMT Total 116,892.0 -513.0 -
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 %
Ball Corp BLL Total North American packaging 1,444.3 162.5 11.25 %
International Paper Company IP Printing Papers 1,258.0 179.0 14.23 %
Weyerhaeuser Company WY Pulp & Paper 471.0 79.0 16.77 %
Genuine Parts Co GPC Office Products 477.8 34.5 7.22 %
Stanley Black and Decker Inc SWK Consumer products 1,838.2 307.8 16.74 %
Stanley Black and Decker Inc SWK Industrial tools 479.3 85.4 17.82 %
Snap on Inc SNA Snap-on Dealer Group 380.6 282.9 74.33 %
The Odp Corporation ODP Total 2,366.0 53.0 2.24 %
The Sherwin williams Company SHW Total 5,379.8 648.6 12.06 %
Target Corp TGT Total 24,197.0 2,097.0 8.67 %
O i Glass Inc OI Total 1,500.0 -91.0 -
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 %
Illinois Tool Works Inc ITW Industrial Packaging 496.0 79.0 15.93 %
International Paper Company IP Industrial Packaging 3,642.0 553.0 15.18 %
International Paper Company IP Consumer Packaging 809.0 -153.0 -
Newell Brands Inc NWL Newell Professional 535.4 70.6 13.19 %
Newell Brands Inc NWL Writing 459.5 114.1 24.83 %
Commercial Vehicle Group Inc CVGI Total 245.1 8.5 3.46 %
Modine Manufacturing Co MOD Total 514.9 -14.6 -
Ennis Inc EBF Total 96.9 7.3 7.54 %
Glatfelter Corporation GLT Total 225.7 8.4 3.72 %
Mercer International Inc MERC Total 401.8 21.4 5.33 %
Resolute Forest Products Inc RFP Total 873.0 88.0 10.08 %
Crown Holdings Inc CCK Total 2,856.0 173.0 6.06 %
Packaging Corp Of America PKG Total 1,807.2 166.5 9.21 %
It Tech Packaging Inc ONP Total 24.2 -4.3 -
Silgan Holdings Inc SLGN Total 1,238.1 73.3 5.92 %
Sonoco Products Company SON Total 1,353.3 72.3 5.34 %
Minerals Technologies Inc MTX Total 455.6 43.0 9.44 %
Stepan Company SCL Total 537.7 40.6 7.55 %
Aptargroup inc ATR Total 811.0 55.3 6.82 %
Berry Global Group Inc BERY Total 3,370.0 181.0 5.37 %
Verso Corporation VRS Total 282.0 -90.0 -
Greif Inc GEF Total 1,340.6 154.0 11.49 %
APROX. MARKET   SUBTOTAL 184,629 5,303 2.87 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
3m Company MMM Safety & Graphics 1,417.0 324.0 22.87 %
Garmin Ltd GRMN Total 1,326.9 317.0 23.89 %
Daktronics Inc DAKT Total 116.9 0.3 0.22 %
Vivint Solar Inc VSLR Total 106.4 -84.4 -
Jinkosolar Holding Co ltd JKS Total 5,383.8 51.4 0.95 %
Sunrun Inc RUN Total 334.8 -204.3 -
Solaredge Technologies Inc SEDG Total 405.5 30.1 7.42 %
Enphase Energy Inc ENPH Total 316.1 39.4 12.45 %
Beam Global EVSI Total 1.4 -1.3 -
Sunpower Corp SPWR Total 306.4 -46.2 -
Vuzix Corp VUZI Total 3.9 -6.6 -
APROX. MARKET   SUBTOTAL 8,302 95 1.15 %





Economy


Advance Monthly Sales

Consumer Price Index CPI

Producer Price Index PPI

Retail Inventories

Personal Income

Gross Domestic Product GDP

Money Supply

Industrial Production

Productivity

Employment Situation

US International Trade

Factory Orders

Durable Goods

Construction Spending

Housing Starts

Vehicle Unit Sales

Stocks


Event Calendar

BSN's Profile

Stock Price

BSN's Financials

Business Description

Fundamentals

Charts & Quotes

BSN's News

Suppliers

BSN's Competitors

Customers & Markets

Economic Indicators

BSN's Growth

Company Segments

Screening


Stock Performance

Growth Rates

Profitability

Valuation

Dividend

Financial Strength

Efficiency

Largest Companies

Management Effectivness

Industries


At a Glance

Performance

Growth Rates

Profitability

Valuation

Financial Strength

Markets


At a Glance

Stocks

Indices

Sectors & Industries

Financials

Commodities

Currencies

News


At a Glance

Stocks

Economy

Industries

Other

Help


Sitemap

Advertise

About us

Glossary


Financial Terms

Technical Analysis

Fundamental Analysis

Energy Terms

Manufacturing Terms

Transportation Terms

Health Care

Insurance Terms

Economy Terms

Hotel & Leisure Terms

CSIMarket Company, Sector, Industry, Market Analysis, Stock Quotes, Earnings, Economy, News and Research.    Copyright © 2021 CSIMarket, Inc. All rights reserved. This site uses cookies to make your browsing experince better. By using this site, you agree to the Terms of Service and Privacy Policy - UPDATED (Read about our Privacy Policy)

Intraday data delayed per exchange requirements. All quotes are in local exchange time. Intraday data delayed 15 minutes for Nasdaq, and other exchanges. Fundamental and financial data for Stocks, Sector, Industry, and Economic Indicators provided by CSIMarket.com
CSIMarket.com 1500 N. University Drive, Coral Springs, FL 33071