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Walmart Inc   (WMT)
Other Ticker:  
 
    Sector  Retail    Industry Wholesale
   Industry Wholesale
   Sector  Retail
 
 

Suppliers by WMT's Divisions

(Most recent Quarter in Millions of $)



COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Walmart Inc WMT Total 161,508.0 5,307.0 3.29 %
Avery Dennison Corporation AVY Total 2,151.2 172.4 8.01 %
Emerson Electric Co EMR HVAC 1,004.0 180.0 17.93 %
Hasbro Inc HAS International 362.8 25.4 6.99 %
Hasbro Inc HAS Total 757.3 59.1 7.8 %
Hp inc HPQ Imaging & Printing 5,108.0 910.0 17.82 %
Hp inc HPQ Total 12,800.0 607.0 4.74 %
Kimberly clark Corporation KMB Consumer Tissue 1,499.0 260.0 17.34 %
Leggett and Platt Inc LEG Residential Furnishings 539.9 103.3 19.13 %
Leggett and Platt Inc LEG Industrial Materials 172.3 22.8 13.23 %
Louisiana pacific Corporation LPX OSB 200.0 -11.1 -
Masco Corporation MAS Total 1,926.0 229.0 11.89 %
Mattel Inc MAT International 798.6 142.6 17.85 %
Motorola Solutions inc MSI Personal Communications 2,420.0 72.0 2.98 %
Nike Inc NKE Total 12,429.0 1,172.0 9.43 %
The Manitowoc Company Inc MTW Foodservice equipment 425.3 70.4 16.55 %
Weyerhaeuser Company WY Wood Products 1,023.0 85.0 8.31 %
Campbell Soup Co CPB U.S. Simple Meals 505.0 118.0 23.37 %
Unisys Corp UIS Total Technology 83.2 49.3 59.25 %
V F Corporation VFC Total 2,373.8 -418.3 -
Walt Disney Co DIS Consumer Products 954.0 348.0 36.48 %
Ecolab Inc ECL Total 3,751.9 416.6 11.1 %
Campbell Soup Co CPB International Simple Meals & Beverages 142.0 11.0 7.75 %
Microsoft Corporation MSFT Client 3,108.0 2,167.0 69.72 %
3m Company MMM Consumer & Office 1,162.0 293.0 25.22 %
Procter and Gamble Co PG Health Care 1,796.0 448.0 24.94 %
Kimberly clark Corporation KMB Personal Care 2,306.0 473.0 20.51 %
Newell Brands Inc NWL Home & Family 628.3 70.7 11.25 %
Vornado Realty Trust VNO Retail 67.2 -6.8 -
Altria Group Inc MO Domestic tobacco 6,040.0 2,121.0 35.12 %
Super League Enterprise Inc SLE Sara Lee Meats 726.0 74.0 10.19 %
Anheuser busch Inbev Sa BUD Domestic Beer 3,465.6 555.4 16.03 %
Procter and Gamble Co PG Fabric & Home Care 5,251.0 1,120.0 21.33 %
Ecolab Inc ECL U.S. Cleaning & Sanitizing 733.3 144.1 19.65 %
Ecolab Inc ECL International Cleaning & Sanitizing 833.1 113.5 13.62 %
Newell Brands Inc NWL Tools Hardware & Commercial Products 427.8 56.8 13.28 %
The Clorox Company CLX International 267.0 -3.0 -
Avon Products Inc AVP Total 590.5 -119.9 -
Coca Cola Co KO Total 11,300.0 3,185.0 28.19 %
Pepsico Inc PEP PepsiCo Beverages North America 5,360.0 860.0 16.04 %
Pepsico Inc PEP PepsiCo International 3,056.0 418.0 13.68 %
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 %
Mccormick and Company Incorporated MKC Consumer Food 630.5 114.6 18.18 %
Kellanova K Total 3,200.0 271.0 8.47 %
Hershey Co HSY Total 3,252.1 797.5 24.52 %
Campbell Soup Co CPB International Soup 354.0 41.0 11.58 %
Campbell Soup Co CPB Biscuits 553.0 73.0 13.2 %
Conagra Brands inc CAG Food Ingredients 1,225.8 154.1 12.57 %
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 %
Hni Corporation HNI Total 587.8 17.7 3.01 %
Dupont De Nemours Inc DD Safety & Protection 156.0 156.0 100 %
Colgate palmolive Company CL Fabric & Home Care Total 3,453.0 1,003.0 29.05 %
Constellation Brands Inc STZ Constellation Wines 690.2 167.3 24.24 %
Super League Enterprise Inc SLE Foodservice 260.0 17.0 6.54 %
Philip Morris International Inc PM Total 8,793.0 2,246.0 25.54 %
Campbell Soup Co CPB U.S. Soup, Sauces & Beverages 778.0 193.0 24.81 %
Walt Disney Co DIS Interactive Media 208.0 0.0 -
The Clorox Company CLX North America 1,274.0 427.0 33.52 %
The J M Smucker Company SJM Total 2,229.1 120.4 5.4 %
Ralph Lauren Corporation RL Wholesale 927.0 247.0 26.65 %
Conagra Brands inc CAG Total Consumer Foods 1,859.7 303.8 16.34 %
Louisiana pacific Corporation LPX Engineered Wood Products 74.4 -0.9 -
General Electric Company GE Consumer & Industrial 2,098.0 77.0 3.67 %
Altria Group Inc MO Wine 166.0 35.0 21.08 %
Constellation Brands Inc STZ Branded wine 1,212.1 692.4 57.12 %
Est e Lauder Companies Inc EL Total 3,940.0 335.0 8.5 %
Apple Inc AAPL Total 90,753.0 23,636.0 26.04 %
The Clorox Company CLX Cleaning 465.0 -93.0 -
The Clorox Company CLX Lifestyle 245.0 -87.0 -
The Clorox Company CLX Household 580.0 17.0 2.93 %
News Corporation NWSA Publishing 1,938.0 85.0 4.39 %
Beam Therapeutics Inc BEAM Home & hardware 1,111.5 62.8 5.65 %
Beam Therapeutics Inc BEAM Spirits 858.8 290.1 33.78 %
Campbell Soup Co CPB U.S. Beverages 165.0 33.0 20 %
Campbell Soup Co CPB North America Foodservice 328.0 28.0 8.54 %
Super League Enterprise Inc SLE Beverage 996.0 119.0 11.95 %
Super League Enterprise Inc SLE North American Retail 675.0 72.0 10.67 %
Avon Products Inc AVP Home 174.4 0.0 -
Sealed Air Corp SEE Diversey 501.8 66.4 13.23 %
Dover Corp DOV Refrigeration & Industrial 492.5 0.0 -
Beam Therapeutics Inc BEAM Total 17.2 -96.1 -
Kellanova K U.S. Snacks 795.0 62.0 7.8 %
Kellanova K U.S. Morning Foods & Kashi 762.0 110.0 14.44 %
Kellanova K U.S. Specialty 281.0 63.0 22.42 %
Newell Brands Inc NWL Newell Consumer 814.6 535.4 65.73 %
Berkshire Hathaway Inc BRKA McLane Company 12,264.0 106.0 0.86 %
The Clorox Company CLX Total 1,814.0 -50.0 -
Ecolab Inc ECL Global Institutional 1,139.4 263.5 23.13 %
Ecolab Inc ECL Global Industrial 1,268.0 200.5 15.81 %
Fox Corporation FOXA Other -83.0 0.0 -
Mondel z International Inc MDLZ Biscuits 2,904.0 0.0 -
Mondel z International Inc MDLZ Beverages 342.0 0.0 -
Mondel z International Inc MDLZ Cheese & Grocery 634.0 0.0 -
Super League Enterprise Inc SLE Total 3.7 -5.3 -
Procter and Gamble Co PG Total 20,195.0 3,781.0 18.72 %
General Electric Company GE Appliances & Lighting 2,293.0 165.0 7.2 %
Simon Property Group inc SPG Total 1,442.6 841.2 58.31 %
Sysco Corporation SYY Total 19,379.1 424.7 2.19 %
Knight swift Transportation Holdings Inc KNX Total 1,822.5 -3.0 -
Marten Transport Ltd MRTN Total 249.7 9.6 3.86 %
Heartland Express Inc HTLD Total 270.3 0.0 -
Vista Outdoor Inc VSTO Total 694.9 -273.9 -
Hudson Technologies Inc HDSN Total 65.3 9.6 14.65 %
Oil dri Corporation Of America ODC Total 106.1 7.8 7.33 %
Janel Corp JANL Total 41.8 0.2 0.52 %
Sono Tek Corp SOTK Total 5.0 0.3 6.58 %
Aaon Inc AAON Total 261.2 39.0 14.93 %
British American Tobacco P l c BTI Total 27,655.0 6,846.0 24.76 %
American National Bankshares Inc AMNB Total 23.9 4.1 17.01 %
Arrow Financial Corporation AROW Total 33.7 17.3 51.47 %
Commerce Bancshares Inc CBSH Total 393.1 115.5 29.37 %
Cullen CFR Total 487.8 135.7 27.82 %
Embassy Bancorp Inc EMYB Total 9.5 2.5 26.63 %
Equity Bancshares Inc EQBK Total 48.5 12.3 25.44 %
First Business Financial Services Inc FBIZ Total 33.9 8.8 26.07 %
Fidelity D and D Bancorp Inc FDBC Total 19.4 5.1 26.01 %
F and m Bank Corp FMBM Total 9.6 1.2 12.63 %
Fncb Bancorp Inc FNCB Total 13.4 3.5 26.42 %
Franklin Financial Services Corporation FRAF Total 17.3 3.4 19.44 %
First National Corp FXNC Total 13.9 3.2 23.09 %
Hills Bancorporation HBIA Total 35.0 12.1 34.53 %
Isabella Bank Corp ISBA Total 16.3 3.1 19.19 %
Juniata Valley Financial Corp JUVF Total 6.9 1.7 24.23 %
National Bank Holdings Corp NBHC Total 101.7 31.4 30.86 %
New Peoples Bankshares Inc NWPP Total 9.3 1.8 19.22 %
Prosperity Bancshares Inc PB Total 278.3 112.2 40.32 %
Prime Meridian Holding Co PMHG Total 7.4 1.9 26.18 %
Smartfinancial Inc SMBK Total 40.5 9.4 23.08 %
Uwharrie Capital Corp UWHR Total 10.1 2.1 21.28 %
Washington Trust Bancorp Inc WASH Total 48.1 10.9 22.72 %
Wilson Bank Holding Co WBHC Total 40.4 11.5 28.41 %
Wsfs Financial Corporation WSFS Total 236.0 65.7 27.85 %
Bankfinancial Corp BFIN Total 14.0 1.7 12.24 %
West Bancorporation Inc WTBA Total 19.0 5.8 30.5 %
Brookline Bancorp inc BRKL Total 80.5 14.7 18.22 %
Citizens Community Bancorp Inc CZWI Total 16.0 4.1 25.6 %
First Capital Inc FCAP Total 10.2 3.0 28.92 %
Modine Manufacturing Co MOD Total 604.3 26.1 4.32 %
Irobot Corporation IRBT Total 150.0 8.6 5.74 %
Knowles Corporation KN Total 194.9 2.5 1.28 %
Koss Corporation KOSS Total 1.8 -0.3 -
Emerson Radio Corp MSN Total 2.2 -0.9 -
Scott s Liquid Gold inc SLGD Total 0.9 3.0 330.21 %
The Toro Company TTC Total 1,349.0 144.8 10.73 %
Columbia Sportswear Company COLM Total 769.6 42.3 5.5 %
Carter s Inc CRI Total 1,007.8 38.0 3.77 %
Deckers Outdoor Corp DECK Total 1,175.4 536.8 45.67 %
Crocs inc CROX Total 938.1 152.5 16.25 %
Delta Apparel Inc DLA Total 78.4 -36.3 -
Innovative Designs Inc IVDN Total 0.1 -0.1 -
Lululemon Athletica Inc LULU Total 2,208.1 321.4 14.56 %
Under Armour Inc UA Total 1,486.1 114.1 7.68 %
Vera Bradley Inc VRA Total 79.9 -8.1 -
Steven Madden Ltd SHOO Total 552.4 44.6 8.07 %
Bassett Furniture Industries Incorporated BSET Total 82.8 -7.2 -
Mohawk Industries Inc MHK Total 2,678.5 105.0 3.92 %
The Dixie Group Inc DXYN Total 65.3 -2.5 -
Interface Inc TILE Total 289.4 14.2 4.9 %
Flexsteel Industries Inc FLXS Total 94.4 0.8 0.8 %
Colgate palmolive Company CL Total 5,065.0 729.0 14.39 %
Hooker Furnishings Corporation HOFT Total 116.7 7.0 6.03 %
La z boy Incorporated LZB Total 500.3 28.7 5.73 %
Kimball International Inc KBAL Total 166.2 5.7 3.42 %
Williams sonoma Inc WSM Total 1,660.3 265.7 16 %
Nova Lifestyle Inc NVFY Total 2.0 -4.7 -
Hg Holdings Inc STLY Total 2.7 0.0 -
Virco Mfg Corporation VIRC Total 46.3 2.1 4.62 %
Tempur Sealy International Inc TPX Total 1,188.6 76.8 6.46 %
Escalade Incorporated ESCA Total 57.3 1.8 3.1 %
Mattel Inc MAT Total 808.9 -28.3 -
Jakks Pacific Inc JAKK Total 90.1 -14.2 -
Acuity Brands Inc AYI Total 967.2 113.9 11.78 %
Capstone Companies Inc CAPC Total 0.0 -0.3 -
Energy Focus Inc EFOI Total 0.8 -0.4 -
Hubbell Inc HUBB Total 1,398.7 149.1 10.66 %
Orion Energy Systems Inc OESX Total 20.6 -4.4 -
Lsi Industries Inc LYTS Total 107.2 5.4 5.01 %
Anheuser busch Inbev Sa BUD Total 59,380.0 6,891.0 11.6 %
Molson Coors Beverage Company TAP Total 1,415.5 209.9 14.83 %
Crimson Wine Group Ltd CWGL Total 15.7 -0.6 -
Willamette Valley Vineyards Inc WVVI Total 8.8 -0.5 -
Constellation Brands Inc STZ Beer 1,985.3 320.1 16.12 %
Constellation Brands Inc STZ Spirits 167.3 0.0 -
Pacific Ventures Group Inc PACV Total 6.9 -1.2 -
The Boston Beer Company Inc SAM Total 601.6 45.3 7.53 %
Mgp Ingredients Inc MGPI Total 169.8 20.6 12.12 %
Celsius Holdings Inc CELH Total 355.2 71.7 20.18 %
Coca cola Consolidated Inc COKE Total 1,591.6 165.7 10.41 %
National Beverage Corp FIZZ Total 297.3 43.7 14.71 %
Jones Soda Co JSDA Total 5.0 -1.2 -
Monster Beverage Corporation MNST Total 1,898.1 442.0 23.29 %
Pepsico Inc PEP Total 22,501.0 3,094.0 13.75 %
Equator Beverage Company MOJO Total 0.6 -0.1 -
Coca Cola Co KO North America 5,635.0 681.0 12.09 %
Reed s Inc REED Total 9.5 -6.6 -
Betterlife Pharma Inc BETR Total 6.6 -51.5 -
B and g Foods inc BGS Total 474.9 -40.2 -
Chase General Corp CSGN Total 0.4 -0.1 -
Darling Ingredients Inc DAR Total 1,420.3 81.6 5.74 %
Farmer Brothers Co FARM Total 85.2 -0.7 -
Flowers Foods Inc FLO Total 1,199.3 -46.7 -
The Hain Celestial Group Inc HAIN Total 437.7 -48.2 -
Ingredion Incorporated INGR Total 1,882.0 218.0 11.58 %
Sanfilippo John B and Son Inc JBSS Total 234.1 17.6 7.51 %
Treehouse Foods Inc THS Total 820.0 -11.7 -
Kraft Heinz Co KHC Total 6,411.0 804.0 12.54 %
J and j Snack Foods Corp JJSF Total 359.2 13.3 3.71 %
Lancaster Colony Corporation LANC Total 470.5 28.4 6.03 %
Lifeway Foods Inc LWAY Total 44.5 2.4 5.45 %
Medifast Inc MED Total 174.3 8.3 4.77 %
Nightfood Holdings Inc NGTF Total 0.0 -0.5 -
Nate s Food Co NHMD Total 0.0 -0.1 -
Performance Food Group Company PFGC Total 14,937.9 120.7 0.81 %
Post Holdings Inc POST Total 1,999.0 97.3 4.87 %
Rocky Mountain Chocolate Factory Inc RMCF Total 7.7 -0.8 -
Tyson Foods Inc TSN Total 13,072.0 148.0 1.13 %
Bridgford Foods Corporation BRID Total 46.7 -2.2 -
Tootsie Roll Industries inc TR Total 197.9 29.4 14.85 %
Dole Plc DOLE Total 8,245.2 155.7 1.89 %
Alico Inc ALCO Total 18.1 -16.0 -
Cal maine Foods Inc CALM Total 702.6 146.4 20.83 %
Newell Brands Inc NWL Baby & Parenting 207.6 10.2 4.91 %
Calavo Growers Inc CVGW Total 184.4 6.1 3.31 %
Fresh Del Monte Produce Inc FDP Total 1,107.9 26.1 2.36 %
Limoneira Company LMNR Total 44.6 6.6 14.7 %
South Dakota Soybean Processors Llc SDSP Total 147.3 6.1 4.13 %
Vector Group Ltd VGR Total 324.6 34.8 10.72 %
Church and Dwight Co Inc CHD Total 1,455.3 177.5 12.2 %
Coty Inc COTY Total 1,384.8 8.8 0.64 %
Crown Crafts Inc CRWS Total 23.2 1.0 4.32 %
Inter Parfums Inc IPAR Total 323.4 53.3 16.48 %
Avon Products Inc AVP Fragrance 412.3 0.0 -
Acco Brands Corporation ACCO Total 448.0 14.9 3.33 %
Clearwater Paper Corporation CLW Total 496.2 41.4 8.34 %
Aeries Technology Inc AERT Total 18.9 -16.3 -
Boise Cascade Company BCC Total 1,645.2 104.1 6.33 %
Masonite International Corporation DOOR Total 667.5 61.4 9.2 %
Trex Company Inc TREX Total 373.6 89.1 23.84 %
Hawkins Inc HWKN Total 223.0 -68.0 -
Mannatech Incorporated MTEX Total 29.1 1.2 4.06 %
Natural Alternatives International Inc NAII Total 24.9 -1.6 -
Dupont De Nemours Inc DD Nutrition & Health 810.0 317.0 39.14 %
Olin Corporation OLN Total 1,635.3 47.8 2.92 %
Spectrum Brands Holdings Inc SPB Total 718.4 60.9 8.48 %
Wd 40 Company WDFC Total 154.4 19.8 12.85 %
Myers Industries Inc MYE Total 197.4 12.7 6.46 %
Northern Technologies International Corporation NTIC Total 20.7 1.2 5.58 %
Tupperware Brands Corporation TUP Total 291.6 -39.5 -
Generac Holdings Inc GNRC Total 888.4 26.5 2.98 %
Nn Inc NNBR Total 121.2 -12.5 -
Quanex Building Products Corporation NX Total 266.2 15.4 5.78 %
Pgt Innovations Inc PGTI Total 399.8 39.2 9.81 %
Park ohio Holdings Corp PKOH Total 417.6 10.1 2.42 %
Techprecision Corporation TPCS Total 8.0 -0.5 -
Voxx International Corporation VOXX Total 113.6 -12.6 -
Alarm com Holdings Inc ALRM Total 223.3 23.4 10.48 %
Everbridge Inc EVBG Total 114.1 1.7 1.47 %
Vpr Brands Lp VPRB Total 3.5 3.0 83.36 %
Right On Brands Inc HLTK Total 0.3 0.0 -
Live Ventures Incorporated LIVE Total 118.5 -3.3 -
Cirrus Logic Inc CRUS Total 372.6 44.8 12.03 %
Turtle Beach Corporation HEAR Total 58.7 -3.6 -
United Breweries Co Inc CCU Total 3,725.3 172.0 4.62 %
George Risk Industries Inc RSKIA Total 4.7 3.2 69.51 %
Jeld wen Holding Inc JELD Total 958.6 -27.7 -
Patrick Industries Inc PATK Total 932.9 35.1 3.76 %
Diageo Plc DEO Total 23,515.0 3,766.0 16.02 %
The Simply Good Foods Company SMPL Total 334.6 41.3 12.35 %
Mission Produce Inc AVO Total 297.0 7.0 2.36 %
Jamf Holding Corp JAMF Total 152.0 -20.5 -
Hello Group Inc MOMO Total 1,690.5 274.9 16.26 %
Mobivity Holdings Corp MFON Total 2.0 -3.5 -
Unilever Plc ULVR Total 66,756.5 7,996.8 11.98 %
Rackspace Technology Inc RXT Total 690.8 -640.6 -
Public Storage PSA Total 1,157.2 511.7 44.22 %
Accenture Plc ACN Products 1,883.0 255.0 13.54 %
Euroseas Ltd ESEA Total 189.4 114.5 60.49 %
Guess Inc GES Total 591.1 15.9 2.69 %
Oxford Industries inc OXM Total 397.4 38.4 9.66 %
Rocky Brands Inc RCKY Total 112.1 2.6 2.27 %
Steelcase Inc SCS Total 727.3 10.9 1.5 %
American Woodmark Corporation AMWD Total 396.4 33.3 8.4 %
Masco Corporation MAS Cabinets & Related Products 253.0 21.0 8.3 %
Ufp Industries inc UFPI Total 1,638.1 121.1 7.39 %
Zoominfo Technologies Inc ZI Total 275.7 15.1 5.48 %
Super Micro Computer Inc SMCI Total 3,849.4 402.5 10.46 %
Snap One Holdings Corp SNPO Total 246.1 -11.0 -
Intest Corp INTT Total 29.1 0.7 2.28 %
Hostess Brands inc TWNK Total 352.8 22.8 6.47 %
Pactiv Evergreen Inc PTVE Total 1,379.0 30.0 2.18 %
APROX. MARKET   SUBTOTAL 647,441 94,691 14.63 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Walmart Inc WMT International 30,637.0 1,277.0 4.17 %
Mattel Inc MAT International 798.6 142.6 17.85 %
Hasbro Inc HAS International 362.8 25.4 6.99 %
APROX. MARKET   SUBTOTAL 1,161 168 14.46 %
COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Walmart Inc WMT Sams Club 14,734.0 428.0 2.9 %
Simon Property Group inc SPG Total 1,442.6 841.2 58.31 %
Vornado Realty Trust VNO Retail 67.2 -6.8 -
Knight swift Transportation Holdings Inc KNX Total 1,822.5 -3.0 -
Marten Transport Ltd MRTN Total 249.7 9.6 3.86 %
Heartland Express Inc HTLD Total 270.3 0.0 -
Janel Corp JANL Total 41.8 0.2 0.52 %
Euroseas Ltd ESEA Total 189.4 114.5 60.49 %
Sono Tek Corp SOTK Total 5.0 0.3 6.58 %
Commerce Bancshares Inc CBSH Total 393.1 115.5 29.37 %
Cullen CFR Total 487.8 135.7 27.82 %
Embassy Bancorp Inc EMYB Total 9.5 2.5 26.63 %
Equity Bancshares Inc EQBK Total 48.5 12.3 25.44 %
First Business Financial Services Inc FBIZ Total 33.9 8.8 26.07 %
Fidelity D and D Bancorp Inc FDBC Total 19.4 5.1 26.01 %
F and m Bank Corp FMBM Total 9.6 1.2 12.63 %
Fncb Bancorp Inc FNCB Total 13.4 3.5 26.42 %
Franklin Financial Services Corporation FRAF Total 17.3 3.4 19.44 %
First National Corp FXNC Total 13.9 3.2 23.09 %
Hills Bancorporation HBIA Total 35.0 12.1 34.53 %
Isabella Bank Corp ISBA Total 16.3 3.1 19.19 %
Juniata Valley Financial Corp JUVF Total 6.9 1.7 24.23 %
National Bank Holdings Corp NBHC Total 101.7 31.4 30.86 %
New Peoples Bankshares Inc NWPP Total 9.3 1.8 19.22 %
Prosperity Bancshares Inc PB Total 278.3 112.2 40.32 %
Prime Meridian Holding Co PMHG Total 7.4 1.9 26.18 %
Smartfinancial Inc SMBK Total 40.5 9.4 23.08 %
Uwharrie Capital Corp UWHR Total 10.1 2.1 21.28 %
Washington Trust Bancorp Inc WASH Total 48.1 10.9 22.72 %
Wilson Bank Holding Co WBHC Total 40.4 11.5 28.41 %
Wsfs Financial Corporation WSFS Total 236.0 65.7 27.85 %
West Bancorporation Inc WTBA Total 19.0 5.8 30.5 %
Knowles Corporation KN Total 194.9 2.5 1.28 %
Koss Corporation KOSS Total 1.8 -0.3 -
Carter s Inc CRI Total 1,007.8 38.0 3.77 %
Deckers Outdoor Corp DECK Total 1,175.4 536.8 45.67 %
Crocs inc CROX Total 938.1 152.5 16.25 %
The Dixie Group Inc DXYN Total 65.3 -2.5 -
Interface Inc TILE Total 289.4 14.2 4.9 %
Mohawk Industries Inc MHK Total 2,678.5 105.0 3.92 %
Escalade Incorporated ESCA Total 57.3 1.8 3.1 %
Energy Focus Inc EFOI Total 0.8 -0.4 -
Hubbell Inc HUBB Total 1,398.7 149.1 10.66 %
Orion Energy Systems Inc OESX Total 20.6 -4.4 -
Lsi Industries Inc LYTS Total 107.2 5.4 5.01 %
Tyson Foods Inc TSN Total 13,072.0 148.0 1.13 %
Masonite International Corporation DOOR Total 667.5 61.4 9.2 %
Trex Company Inc TREX Total 373.6 89.1 23.84 %
Spectrum Brands Holdings Inc SPB Total 718.4 60.9 8.48 %
Wd 40 Company WDFC Total 154.4 19.8 12.85 %
Northern Technologies International Corporation NTIC Total 20.7 1.2 5.58 %
Generac Holdings Inc GNRC Total 888.4 26.5 2.98 %
Quanex Building Products Corporation NX Total 266.2 15.4 5.78 %
Pgt Innovations Inc PGTI Total 399.8 39.2 9.81 %
Park ohio Holdings Corp PKOH Total 417.6 10.1 2.42 %
Techprecision Corporation TPCS Total 8.0 -0.5 -
Everbridge Inc EVBG Total 114.1 1.7 1.47 %
Live Ventures Incorporated LIVE Total 118.5 -3.3 -
Cirrus Logic Inc CRUS Total 372.6 44.8 12.03 %
George Risk Industries Inc RSKIA Total 4.7 3.2 69.51 %
Jeld wen Holding Inc JELD Total 958.6 -27.7 -
Zoominfo Technologies Inc ZI Total 275.7 15.1 5.48 %
Jamf Holding Corp JAMF Total 152.0 -20.5 -
Hello Group Inc MOMO Total 1,690.5 274.9 16.26 %
Mobivity Holdings Corp MFON Total 2.0 -3.5 -
Intest Corp INTT Total 29.1 0.7 2.28 %
APROX. MARKET   SUBTOTAL 34,624 3,271 9.45 %







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