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Westell Technologies Inc   (WSTL)
Other Ticker:  
 
    Sector  Technology    Industry Consumer Electronics
   Industry Consumer Electronics
   Sector  Technology
 
 

Customers by WSTL's Divisions

(Most recent Quarter in Millions of $)



COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Westell Technologies Inc WSTL Total 6.6 -0.1 -
Coda Octopus Group Inc CODA Total 3.8 -0.3 -
Ubiquiti Inc UI Total 464.6 82.1 17.67 %
Nokia Corp NOK Total 27,900.3 4,770.1 17.1 %
Celestica inc CLS Total 7,960.5 244.6 3.07 %
Atlantic Power Corporation AT Total 140.6 1.6 1.14 %
At and t Inc T Total 32,022.0 2,582.0 8.06 %
Verizon Communications Inc VZ Total 35,130.0 -2,573.0 -
Walt Disney Co DIS Media Networks 5,768.0 2,378.0 41.23 %
Comcast Corporation CMCSA Content 419.0 46.0 10.98 %
Sanmina Corporation SANM Total 1,873.8 60.4 3.22 %
Jabil Inc JBL Total 8,387.0 194.0 2.31 %
Meredith Corporation MDP Broadcasting 130.1 40.0 30.72 %
Crane Company CR Aerospace 167.1 31.7 18.97 %
Genuine Parts Co GPC Electrical/electronic materials 125.6 8.8 6.97 %
Whirlpool Corp WHR Total 5,088.0 492.0 9.67 %
Windstream Holdings Inc WIN Total 1,185.3 -162.4 -
Leggett and Platt Inc LEG Commercial Fixturing & Components 159.5 18.8 11.79 %
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 Support Systems 2,172.0 281.0 12.94 %
International Game Technology Plc IGT Total 4,310.0 307.0 7.12 %
Illinois Tool Works Inc ITW Food Equipment 518.0 114.0 22.01 %
Verizon Communications Inc VZ Wireline 9,355.0 0.0 -
News Corporation NWSA Cable Network Programming 2,782.0 993.0 35.69 %
News Corporation NWSA Television 1,225.0 196.0 16 %
Flir Systems Inc FLIR Government Systems 162.1 58.0 35.76 %
General Electric Company GE Aviation 6,001.0 1,353.0 22.55 %
Emerson Electric Co EMR Total 4,086.0 132.0 3.23 %
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 %
Comcast Corporation CMCSA Phone 900.0 0.0 -
Windstream Holdings Inc WIN Voice service 498.1 0.0 -
Eaton Corporation Plc ETN Aerospace 449.0 79.0 17.59 %
The E w Scripps Company SSP Broadcast television 157.4 31.7 20.14 %
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 %
Sai tech Global Corporation SAI Defense Solutions 1,022.0 79.0 7.73 %
Sai tech Global Corporation SAI Intelligence & Cybersecurity Solutions 1,009.0 68.0 6.74 %
Fox Corporation FOXA Television 1,049.0 196.0 18.68 %
Science Applications International Corporation SAIC Total 1,997.0 -135.0 -
Leidos Holdings Inc LDOS Defense Solutions 879.0 74.0 8.42 %
Graham Holdings Co GHC Television broadcasting 89.7 40.5 45.18 %
Air Industries Group AIRI Total 12.3 -1.3 -
Astronics Corporation ATRO Total 162.6 -17.0 -
Aerovironment Inc AVAV Total 180.4 17.8 9.89 %
Cpi Aerostructures Inc CVU Total 19.7 0.3 1.53 %
Heico Corporation HEI Total 896.4 125.5 14 %
Kratos Defense and Security Solutions inc KTOS Total 273.5 5.6 2.05 %
Ducommun Incorporated DCO Total 192.7 5.1 2.65 %
National Presto Industries Inc NPK Total 98.4 13.2 13.37 %
Ies Holdings Inc IESC Total 634.4 43.6 6.87 %
Goldfield Corp GV Total 48.4 1.1 2.25 %
Level 3 Parent Llc LVLT Total 1,764.0 -1,924.0 -
Sifco Industries Inc SIF Total 20.7 -3.4 -
Transdigm Group Incorporated TDG Total 1,789.0 382.0 21.35 %
Everi Holdings Inc EVRI Total 192.0 1.9 0.99 %
Stoneridge Inc SRI Total 238.2 2.2 0.91 %
Koss Corporation KOSS Total 3.1 -0.3 -
Knowles Corporation KN Total 204.3 47.4 23.2 %
Anixter International Inc AXE Total 2,071.7 35.7 1.72 %
Benchmark Electronics Inc BHE Total 719.7 20.4 2.84 %
Graybar Electric Company Inc GRAYB Total 2,725.2 96.9 3.56 %
Addvantage Technologies Group Inc AEY Total 9.8 -2.7 -
Cemtrex Inc CETX Total 16.1 -1.3 -
Highway Holdings Ltd HIHO Total 10.2 -0.3 -
Quanex Building Products Corporation NX Total 239.2 6.2 2.61 %
Park ohio Holdings Corp PKOH Total 428.1 5.9 1.38 %
Proto Labs Inc PRLB Total 124.7 7.0 5.6 %
Rada Electronic Industries Ltd RADA Total 117.2 25.1 21.39 %
Techprecision Corporation TPCS Total 8.0 -0.5 -
Duo World Inc DUUO Total 0.0 0.0 -
Inpixon INPX Total 2.0 -10.8 -
Inspired Entertainment Inc INSE Total 64.9 -1.4 -
Cirrus Logic Inc CRUS Total 618.5 138.7 22.43 %
Cts Corporation CTS Total 134.6 14.0 10.38 %
Dsp Group Inc DSPG Total 37.8 0.0 -
Iec Electronics Corp IEC Total 49.4 1.0 2.08 %
Kimball Electronics Inc KE Total 420.4 8.3 1.97 %
Osi Systems inc OSIS Total 372.3 36.6 9.82 %
Plexus Corp PLXS Total 982.1 29.2 2.97 %
Sigmatron International Inc SGMA Total 94.9 0.6 0.63 %
Smtc Corporation SMTX Total 101.4 -3.6 -
Ttm Technologies Inc TTMI Total 572.3 -37.1 -
Viavi Solutions Inc VIAV Total 254.0 10.7 4.21 %
Fabrinet FN Total 712.7 69.1 9.7 %
Iteris inc ITI Total 41.5 0.4 0.85 %
Ericsson Lm Telephone Co ERIC Total 28,310.2 -2,806.2 -
Galaxy Gaming Inc GLXZ Total 6.1 -1.5 -
Key Tronic Corporation KTCC Total 145.4 1.1 0.75 %
Micropac Industries Inc MPAD Total 10.5 1.0 9.52 %
Eltek Ltd ELTK Total 39.7 3.2 8.06 %
Cambium Networks Corp CMBM Total 43.0 -26.2 -
Intest Corp INTT Total 32.3 3.0 9.17 %
Ondas Holdings Inc ONDS Total 2.7 -7.5 -
Crawford United Corp CRAWA Total 32.9 2.8 8.55 %
Nova Ltd NVMI Total 517.9 136.3 26.32 %
APROX. MARKET   SUBTOTAL 261,980 14,748 5.63 %







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