Top Losers

100 Matches
Name Market Cap Share Price 1 Day Change Div Yield PER Volume Sector Div Growth 5y Div Payments per Years Div Payout Years Div Increase Years 1 Week Perf 1 Month Perf 3 Month Perf 6 Month Perf YTD Perf 1 Year Perf 5 Years Perf Div Yield 2
Texas Pacific Land Trust
US8826101086 — TPL
11.9 B USD 1,579.7 USD 1.75% 0.7% 67.5 65.9 k Energy 146.9% 2 40 7 8.19% 4.95% 131.7% 112.5% 179.3% 945.6% 0.4%
PerkinElmer, Inc
US7140461093 — PKI
14.1 B USD 151.6 USD 2.00% 0.2% 19.4 1.2 M Healthcare 1.72% 12 38 10 22.36% 9.66% 5.28% 59.83% 200.3% 0.7%
Teleflex Incorporated
US8793691069 — TFX
19.2 B USD 400.8 USD 1.80% 0.3% 57.9 240.8 k Healthcare 4 36 0.63% 0.52% 0.39% 1.25% 15.20% 147.4% 0.3%
H.B. Fuller Company
US3596941068 — FUL
3.2 B USD 63.74 USD 2.92% 1.1% 26.1 971.8 k Basic Materials 4.89% 4 36 29 1.23% 13.04% 24.70% 26.65% 63.10% 61.67% 1.1%
Casey's General Stores, Inc
US1475281036 — CASY
7.8 B USD 194.9 USD 1.68% 0.6% 23.7 330.7 k Consumer Defensive 8.79% 4 31 2 6.45% 9.97% 11.74% 35.75% 66.54% 0.6%
Vodafone Group Plc
GB00BH4HKS39 — VOD
509.2 M USD 1.72 USD 4.10% 6.7% 17.8 152.0 M Communication Services 2.41% 2 31 1 0.88% 2.54% 5.90% 5.56% 7.72% 22.33% 7.4%
Pearson plc
GB0006776081 — PSON
82.4 M USD 11.49 USD 1.23% 2.5% 19.4 1.2 M Communication Services 17.81% 2 31 2 0.24% 9.34% 21.43% 24.00% 51.06% 10.74% 3.4%
Legal & General Group Plc
GB0005603997 — LGEN
222.6 M USD 3.62 USD 1.13% 6.5% 10.6 19.5 M Financial Services 8.29% 2 31 10 3.58% 4.61% 1.21% 1.09% 3.30% 29.00% 89.67% 9.3%
One Liberty Properties, Inc
US6824061039 — OLP
451.6 M USD 28.74 USD 2.64% 8.4% 16.4 103.8 k Real Estate 9.63% 30 1 17.56% 35.54% 50.00% 50.46% 83.03% 76.43% 4.4%
Techtronic Industries Company Limited
HK0669013440 — 0669
34.6 B USD 17.02 USD 2.00% 0.1% 56.0 5.4 M Industrials 25.97% 2 29 13 8.32% 2.69% 19.60% 13.74% 73.12% 349.3% 1.2%
United Utilities Group PLC
GB00B39J2M42 — UU
90.8 M USD 13.63 USD 3.02% 4.5% 60.1 2.5 M Utilities 2.44% 28 10 12.86% 14.70% 12.61% 12.51% 36.00% 4.4%
Spectris plc
GB0003308607 — SXS
52.8 M USD 44.76 USD 1.36% 2.1% 16.5 292.8 k Technology 17.77% 3 28 10 1.95% 98.97% 0.24% 12.52% 13.10% 35.11% 124.6% 4.2%
Simon Property Group, Inc
US8288061091 — SPG
37.1 B USD 130.6 USD 1.20% 5.5% 31.5 2.0 M Real Estate 0.17% 4 27 6.28% 16.34% 54.67% 59.65% 114.9% 20.18% 5.5%
Siemens AG
DE0007236101 — SIE
133.5 B USD 158.6 USD 1.18% 2.5% 26.8 2.4 M Industrials 3.40% 1 27 7 1.09% 1.03% 14.72% 16.36% 34.02% 79.11% 2.5%
BayWa Aktiengesellschaft
DE0005194005 — BYW
1.7 B USD 51.82 USD 7.53% 2.2% 68.4 3.5 k Industrials 3.50% 1 27 1 4.40% 22.56% 37.36% 28.49% 63.18% 83.22% 2.1%
CSL Limited
AU000000CSL8 — CSL
93.2 B USD 215.3 USD 1.24% 0.8% 35.7 168.0 k Healthcare 12.34% 2 27 9 1.15% 6.96% 0.11% 1.27% 1.31% 180.8% 1.0%
The Go-Ahead Group plc
GB0003753778 — GOG
7.9 M USD 16.24 USD 2.80% 5.5% 4.3 70.8 k Industrials 19.64% 1 26 1.46% 10.38% 10.11% 16.55% 33.37% 30.50% 22.26% 226.8%
Empire Company Limited
CA2918434077 — EMP-A
8.4 B USD 31.19 USD 1.23% 1.3% 14.9 783.4 k Consumer Defensive 0.82% 4 26 4 3.37% 1.95% 13.19% 12.81% 22.52% 101.2% 1.3%
Reliance Industries Limited
INE002A01018 — RELIANCE
175.7 B USD 29.42 USD 2.35% 0.3% 29.1 42.2 M Energy 5.59% 25 11 9.93% 9.28% 10.15% 27.92% 368.6% 0.3%
Imperial Brands PLC
GB0004544929 — IMB
195.1 M USD 21.48 USD 1.30% 9.4% 9.5 1.6 M Consumer Defensive 13.12% 3 24 4.69% 5.89% 0.35% 2.00% 9.19% 42.77% 968.6%
Informa plc
GB00BMJ6DW54 — INF
117.4 M USD 6.96 USD 1.98% 25.7 6.8 M Communication Services 3.89% 1 23 1.15% 4.90% 9.22% 8.38% 4.66% 9.74% 1.00% 2.7%
ALBA SE
DE0006209901 — ABA
796.1 M USD 76.21 USD 1.52% 4.7% 162.9 758.0 Industrials 1 22 1 5.07% 2.34% 1.55% 9.62% 57.13% 4.7%
Ventas, Inc
US92276F1003 — VTR
20.1 B USD 57.96 USD 2.16% 4.0% 45.8 1.6 M Real Estate 8.07% 4 22 6.93% 10.56% 21.13% 26.37% 71.95% 5.81% 4.0%
Brookfield Renewable Partners L.P
BMG162581083 — BEP-UN
11.3 B USD 35.98 USD 2.77% 2.3% 153.5 332.8 k Utilities 0.26% 4 21 2 2.76% 8.08% 12.55% 16.98% 38.56% 235.3% —%
China Overseas Land & Investment Limited
HK0688002218 — 0688
28.0 B USD 2.36 USD 3.07% 5.0% 4.7 10.7 M Real Estate 1.36% 2 21 4 0.54% 9.93% 7.09% 11.64% 21.14% 7.18% 7.2%
Vifor Pharma AG
CH0364749348 — VIFN
9.2 B USD 135.3 USD 5.34% 1.5% 24.1 445.1 k Healthcare 5.92% 21 7.39% 8.51% 0.18% 2.14% 8.89% 11.94% 1.5%
Eisai Co., Ltd
US2825793092 — ESALY
19.3 B USD 105.0 USD 2.40% 2.2% 22.3 72.7 k Healthcare 9.50% 1 20 68.09% 59.17% 54.40% 52.75% 32.48% 114.6% 1.1%
MediaTek Inc
TW0002454006 — 2454
54.9 B USD 32.64 USD 1.28% 1.1% 38.2 3.6 M Technology 25.64% 1 20 4.70% 1.17% 4.25% 30.53% 17.68% 62.10% 366.8% 0.5%
Keyence Corporation
JP3236200006 — KYCCF
115.0 B USD 501.7 USD 1.78% 0.2% 68.0 2.7 k Technology 43.16% 2 19 6.25% 6.57% 8.22% 8.63% 23.62% 640.9% 0.4%
Lerøy Seafood Group ASA
NO0003096208 — LSG
5.1 B USD 8.92 USD 1.60% 2.1% 55.0 817.1 k Consumer Defensive 4.56% 1 18 5.67% 11.30% 31.70% 31.53% 45.18% 191.7% 2.0%
ATOSS Software AG
DE0005104400 — AOF
1.6 B USD 206.8 USD 2.97% 1.0% 76.2 5.0 k Technology 54.11% 2 18 7 1.91% 8.86% 15.06% 14.34% 14.70% 80.00% 262.5% 2.3%
China Resources Gas Group Limited
BMG2113B1081 — 1193
12.1 B USD 6.17 USD 1.94% 2.2% 17.6 2.2 M Utilities 23.73% 2 18 12 2.77% 10.80% 16.00% 14.76% 21.91% 141.9% 3.8%
Digital Realty Trust, Inc
US2538681030 — DLR
38.9 B USD 150.1 USD 1.22% 3.2% 138.4 1.5 M Real Estate 1.06% 4 17 4 0.32% 9.82% 9.62% 12.31% 7.96% 70.62% 3.3%
Westlake Chemical Corporation
US9604131022 — WLK
11.2 B USD 91.15 USD 1.14% 1.2% 34.2 1.2 M Basic Materials 8.97% 4 17 7 7.91% 7.60% 14.55% 13.77% 78.20% 132.8% 1.3%
PAO NOVATEK
RU000A0DKVS5 — NVTK
63.8 B USD 20.17 USD 1.57% 19.5% 55.1 1.1 M Basic Materials 12.58% 2 16 9.25% 3.90% 25.87% 22.25% 46.36% 171.5% 2.0%
Geely Automobile Holdings Limited
KYG3777B1032 — 0175
28.2 B USD 3.36 USD 1.14% 0.8% 22.2 92.1 M Consumer Cyclical 58.49% 1 16 35.27% 33.89% 7.55% 2.04% 108.5% 572.8% 0.9%
Deutsche Beteiligungs AG
DE000A1TNUT7 — DBAN
628.7 M USD 39.81 USD 2.16% 2.4% 56.9 28.2 k Financial Services 30.26% 1 16 5 0.29% 1.00% 2.06% 2.06% 15.67% 60.03% 2.2%
Rolls-Royce Holdings plc
GB00B63H8491 — RR
118.4 M USD 1.48 USD 1.52% 26.5 M Industrials 21.20% 1 15 1.79% 3.81% 3.20% 3.02% 6.05% 7.96% 40.82% 6.9%
FMC Corporation
US3024913036 — FMC
14.2 B USD 112.8 USD 1.19% 1.7% 25.9 1.3 M Basic Materials 25.77% 4 15 4 1.84% 4.64% 0.57% 1.30% 20.14% 213.4% 1.8%
Melrose Industries PLC
GB00BZ1G4322 — MRO
109.4 M USD 2.13 USD 2.18% 0.4% 119.7 9.5 M Industrials 33.83% 1 15 2.98% 3.66% 12.94% 10.95% 39.17% 132.2% 0.5%
Shenzhou International Group Holdings Li
KYG8087W1015 — 2313
34.2 B USD 24.67 USD 1.13% 1.0% 46.7 1.4 M Consumer Cyclical 40.26% 2 15 5 0.10% 22.78% 30.33% 29.72% 100.0% 476.6% 1.5%
Central Japan Railway Company
US1537661001 — CJPRY
30.7 B USD 15.48 USD 1.48% 8.3% 8.0 26.1 k Industrials 6.24% 1 14 7.97% 0.32% 15.18% 14.76% 0.57% 7.12% 0.4%
Bertrandt Aktiengesellschaft
DE0005232805 — BDT
537.0 M USD 67.54 USD 6.80% 0.3% 124.6 8.0 k Consumer Cyclical 7.79% 1 14 9.77% 14.44% 40.14% 57.65% 56.85% 72.14% 18.91% 0.3%
ANTA Sports Products Limited
KYG040111059 — 2020
47.3 B USD 23.10 USD 1.37% 0.4% 61.2 9.5 M Consumer Cyclical 0.35% 2 13 1 20.68% 62.73% 57.39% 43.39% 153.6% 1,278.8% 0.5%
Magnit
RU000A0JKQU8 — MGNT
7.3 B USD 70.51 USD 4.83% 5.9% 50.2 615.1 k Consumer Goods 6.60% 12 1 4.64% 5.72% 2.20% 1.45% 35.69% 17.93% 9.6%
AAC Technologies Holdings Inc
KYG2953R1149 — 2018
7.0 B USD 7.43 USD 1.87% 0.6% 21.8 5.8 M Technology 36.39% 12 1 49.38% 36.45% 35.21% 21.39% 2.23% 0.5%
Wynn Resorts, Limited
US9831341071 — WYNN
14.8 B USD 124.2 USD 1.43% 0.8% 52.9 2.4 M Consumer Cyclical 19.73% 1 12 1.17% 2.09% 1.26% 10.81% 18.58% 68.54% 49.88% 0.8%
Phoenix Group Holdings plc
GB00BGXQNP29 — PHNX
99.3 M USD 9.16 USD 1.51% 6.5% 7.9 3.2 M Financial Services 0.14% 2 12 1 5.49% 3.50% 3.12% 1.56% 14.23% 55.26% 6.7%
Norilsk Nickel
US55315J1025 — NNIC
51.1 B USD 33.18 USD 2.41% 7.8% 15.3 9.0 k Basic Materials 1.85% 2 11 1.48% 23.40% 10.48% 6.42% 17.95% 341.7% 0.1%
Carnival Corporation & Plc
PA1436583006 — CCL
29.9 B USD 27.46 USD 2.45% 2.0% 6.0 30.6 M Consumer Cyclical 14.59% 1 11 0.11% 1.50% 8.90% 29.66% 38.13% 75.94% 27.09% 2.0%