Avnet, Inc. logo

AVT: Avnet, Inc.

Stock

About

Avnet, Inc. engages in the distribution and sale of electronic components. It operates through the Electronic Components and Farnell segments. The Electronic Components segment markets and sells semiconductors, interconnect, passive and electromechanical devices, and integrated components. The Farnell segment is involved in the distribution of electronic components and related products to the electronic system design community utilizing multi-channel sales and marketing resources. The company was founded by Charles Avnet in 1921 and is headquartered in Phoenix, AZ.

Year Founded
1921
Employees
15,462
Sector
Information Technology
HQ Location
Phoenix, AZ

Current Value

$55.56

1 Year Return

$8.42
17.86%

Key Details

Market Cap

$4.84B

P/E Ratio

14.55

1Y Stock Return

19.78%

1Y Revenue Growth

-11.85%

Dividend Yield

2.41%

Price to Book

1.0

Strategies that include
AVT

High risk

$7,700

0.09%

Information Technology Sector

speculation
maximum growth

This strategy concentrates on the technology sector, including companies involved in software, hardware, IT services, and semiconductor industries. It captures the growth potential of tech companies driving innovation and digital transformation, appealing to investors seeking exposure to this dynamic sector.

Top Sector

Information Technology

Top Holdings

Apple Inc logo
NVIDIA Corp logo
Microsoft Corporation logo
Broadcom Inc logo
Salesforce Inc logo

Return

+24.00%

Expense Ratio

0.00%

Holdings

281

High risk

$13,000

0.56%

U.S. Small Cap Value

speculation
maximum growth

This strategy concentrates primarily US small-cap value companies selected based on fundamental criteria

Top Sector

Financials

Top Holdings

GATX Corp. logo
Alaska Air Group Inc. logo
Matson Inc logo
Herc Holdings Inc logo
Boise Cascade Co logo

Return

+16.66%

Expense Ratio

0.00%

Holdings

558

Medium risk

$33,000

0.01%

US 1000

growth
balanced
growth income

This strategy tracks a market-cap-weighted index of the 1000-largest US companies. It offers broad exposure to the US equity market, encompassing a diverse range of sectors and industries. By investing in this fund, you gain access to the performance of large and well-established companies within the US economy.

Top Sector

Information Technology

Top Holdings

Apple Inc logo
NVIDIA Corp logo
Microsoft Corporation logo
Amazon.com Inc. logo
Meta Platforms Inc - Ordinary Shares - Class A logo

Return

+15.80%

Expense Ratio

0.00%

Holdings

994

Medium risk

$5,000

0.16%

US Mid Cap

growth
balanced
growth income

This strategy tracks a market-cap-weighted index of mid-cap US companies. This strategy offers targeted exposure to the growth potential of mid-sized businesses within the US market. With a diversified portfolio of holdings, it provides investors with a comprehensive approach to capturing the mid-cap segment's performance.

Top Sector

Industrials

Top Holdings

Emcor Group, Inc. logo
Williams-Sonoma, Inc. logo
Illumina Inc logo
Lennox International Inc logo
Interactive Brokers Group Inc - Ordinary Shares - Class A logo

Return

+12.46%

Expense Ratio

0.00%

Holdings

400

Create your own
strategy with

AVT
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Stock's related to
AVT

Correlated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
ARW76.33%$6.38B+2.43%0.00%
AEIS64.63%$4.45B+25.19%0.34%
LFUS64.11%$6.11B+2.69%1.10%
ADI62.76%$109.95B+22.65%1.25%
VSH62.37%$2.51B-17.12%2.65%
ITT62.18%$12.72B+41.26%0.82%
PIPR61.88%$5.95B+110.02%0.74%
AVNT61.33%$4.69B+45.81%2.01%
CTS61.30%$1.67B+40.33%0.29%
TXN61.15%$179.92B+25.42%2.67%
KLIC61.12%$2.71B-0.89%1.58%
COHU60.70%$1.26B-15.30%0.00%
NXPI60.49%$58.04B+10.95%1.75%
SYNA60.46%$3.23B-17.23%0.00%
KN60.46%$1.75B+24.00%0.00%
TKR60.18%$5.44B+5.13%1.74%
POWI60.14%$3.76B-13.54%1.22%
FUL59.90%$4.16B-1.97%1.14%
NOVT59.85%$6.05B+14.71%0.00%
PAG59.85%$11.12B+10.46%2.47%

Uncorrelated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
GO-0.11%$1.92B-31.63%0.00%
CLX-0.12%$20.69B+18.16%2.91%
UTZ-0.15%$1.42B+28.47%1.37%
XEL-0.19%$40.77B+16.34%3.05%
IFRX-0.20%$132.49M+60.71%0.00%
FATBB-0.26%$79.40M-12.17%12.44%
TPST0.27%$38.14M-73.03%0.00%
VZIO0.35%$2.30B+55.48%0.00%
BCAN0.46%$73.19M-99.72%0.00%
K0.47%$27.78B+51.06%2.80%
HUM-0.47%$35.06B-41.81%1.22%
AJG-0.49%$67.97B+26.56%0.58%
CYCN-0.53%$4.36M-33.61%0.00%
FDP0.54%$1.65B+44.52%2.91%
DAO-0.55%$206.43M+61.61%0.00%
UNH0.77%$556.98B+9.99%0.99%
SJM0.89%$12.48B+1.01%3.69%
ACGL0.96%$37.45B+27.88%0.00%
IMRN-1.11%$11.11M-6.28%0.00%
CL-1.13%$77.30B+21.79%2.11%

Inversely Correlated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
MCK-24.24%$78.44B+34.11%0.43%
COR-18.03%$48.33B+22.74%0.83%
HUSA-15.20%$17.27M-24.57%0.00%
MNST-14.09%$52.70B-0.13%0.00%
CBOE-11.18%$22.21B+16.58%1.12%
PGR-10.64%$153.84B+60.59%0.44%
CPB-10.28%$13.55B+12.78%3.44%
BTCT-10.02%$60.85M+288.68%0.00%
CHD-9.60%$26.94B+17.62%1.04%
SOC-9.08%$1.89B+71.15%0.00%
DOGZ-8.96%$586.25M+1,510.14%0.00%
CAH-8.92%$29.83B+15.06%1.63%
GIS-7.14%$36.77B+2.67%3.64%
PG-7.06%$413.12B+19.53%2.28%
STG-6.85%$33.21M-25.59%0.00%
QTTB-6.45%$301.59M+152.40%0.00%
NOC-6.44%$70.69B+1.80%1.67%
OCX-6.39%$40.49M-36.71%0.00%
MNOV-5.87%$112.81M+32.18%0.00%
LMT-5.55%$122.55B+15.86%2.48%

ETF's related to
AVT

Correlated ETFs

NameCorrelationAUMExpense Ratio
JVAL73.05%$717.89M0.12%
XSD72.72%$1.35B0.35%
SNSR72.63%$239.46M0.68%
EFAA72.44%$105.52M0%
RSPA72.38%$278.68M0%
XJH72.16%$261.04M0.12%
JMEE71.87%$1.61B0.24%
QQA71.83%$140.88M0%
FMDE71.77%$2.11B0.23%
SCHM71.77%$12.12B0.04%
VLUE71.62%$7.56B0.15%
SPMD71.61%$12.70B0.03%
FV71.58%$3.94B0.9%
MDY71.49%$25.82B0.24%
IVOO71.40%$2.56B0.1%
IJH71.35%$101.34B0.05%
EZM71.35%$861.35M0.38%
QQQJ71.28%$682.11M0.15%
SFYX71.28%$110.44M0.06%
SMOT71.14%$394.88M0.49%

Uncorrelated ETFs

NameCorrelationAUMExpense Ratio
MINT0.02%$11.69B0.35%
ULST-0.40%$537.59M0.2%
FTSM-0.42%$6.04B0.45%
SHV-0.59%$18.61B0.15%
SPTS0.62%$5.58B0.03%
HDRO0.96%$164.26M0.3%
SGOV1.47%$27.99B0.09%
TOTL1.74%$3.40B0.55%
PWZ1.93%$702.08M0.28%
IBTE-1.94%$1.64B0.07%
FTSD2.04%$183.62M0.25%
SMB2.07%$268.43M0.07%
BILZ-2.33%$541.42M0.14%
BSCO2.87%$2.27B0.1%
TBIL-2.90%$4.42B0.15%
FLDR3.00%$615.97M0.15%
UTWO3.18%$443.59M0.15%
GBIL3.32%$5.68B0.12%
CGSM3.62%$527.95M0.25%
SHYD3.76%$312.98M0.35%

Inversely Correlated ETFs

NameCorrelationAUMExpense Ratio
BTAL-50.81%$365.42M1.43%
VIXY-44.26%$195.31M0.85%
TAIL-39.22%$68.19M0.59%
USDU-21.88%$210.52M0.5%
UUP-18.57%$376.91M0.77%
YEAR-12.98%$1.14B0.25%
XONE-10.08%$550.19M0.03%
CTA-9.33%$367.83M0.76%
XBIL-9.24%$633.44M0.15%
DFNM-8.64%$1.42B0.17%
CLOI-8.52%$749.05M0.4%
KMLM-8.47%$344.74M0.9%
KCCA-8.30%$219.07M0.87%
CORN-8.04%$59.94M0.2%
EQLS-7.93%$8.93M1%
JUCY-7.84%$325.86M0.6%
XHLF-6.99%$900.10M0.03%
WEAT-5.86%$119.27M0.28%
TBIL-2.90%$4.42B0.15%
BILZ-2.33%$541.42M0.14%

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