ETD: Ethan Allen Interiors, Inc.

Stock

About

Ethan Allen Interiors, Inc. is engaged in manufacturing home furnishings and accessories. The firm offers a full complement of home decorating and design solutions through its home furnishing retail networks. It operates through the Wholesale and Retail segments. The Wholesale segment develops the brand of the company, encompasses all aspects of design, manufacture, sourcing, marketing, sale and distribution of its broad range of home furnishing and accents. The Retail segment sells home furnishings and accents to consumers through a network of company operated design centers. The company was founded by Nathan Ancell and Theodore Baumritter in 1932 and is headquartered in Danbury, CT.

Year Founded
1932
Employees
3,448
Sector
Consumer Discretionary
HQ Location
Danbury, CT

Current Value

$29.12

1 Year Return

$1.96
7.22%

Key Details

Market Cap

$740.01M

P/E Ratio

11.73

1Y Stock Return

7.77%

1Y Revenue Growth

-14.05%

Dividend Yield

5.27%

Price to Book

1.6

Strategies that include
ETD

High risk

$9,300

Consumer Discretionary Sector

speculation
maximum growth

This strategy focuses on consumer discretionary companies, including retail, automotive, leisure, and entertainment firms. Reflecting consumer spending trends and economic conditions, it's sensitive to changes in consumer sentiment and economic growth.

Top Sector

Consumer Discretionary

Top Holdings

Return

+16.08%

Expense Ratio

0.00%

Holdings

274

High risk

$13,000

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

Return

+16.66%

Expense Ratio

0.00%

Holdings

551

High risk

$9,000

US Small Cap

speculation
maximum growth

This strategy tracks a market-cap-weighted index of primarily small-cap US stocks, representing a small portion of the total market. This strategy focuses on the growth potential of smaller companies, offering investors targeted exposure to this dynamic segment of the US equity market. With a diversified portfolio of holdings it provides a broad approach to small-cap investing.

Top Sector

Financials

Top Holdings

Return

+10.03%

Expense Ratio

0.00%

Holdings

591

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ETD
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Stock's related to
ETD

Uncorrelated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
ALAR-0.05%$89.09M+158.08%0.00%
TPST-0.23%$37.75M-77.59%0.00%
TW-0.24%$28.66B+42.39%0.29%
TMUS-0.36%$270.63B+56.92%0.83%
BTCT0.36%$42.61M+353.33%0.00%
WTW0.45%$30.98B+26.60%1.13%
VSTA-0.54%$204.94M-39.33%0.00%
WM0.63%$87.92B+27.58%1.34%
BCAN-0.79%$72.87M-99.75%0.00%
PI-0.93%$5.17B+122.46%0.00%
PDD-1.09%$163.43B+0.29%0.00%
DKL1.15%$2.03B-18.84%10.94%
NHTC-1.16%$61.83M+0.19%14.81%
WRB-1.17%$22.94B+29.98%0.69%
PRPH1.18%$18.14M-82.61%0.00%
LMT1.28%$126.40B+18.99%2.36%
UUU1.28%$4.97M-41.89%0.00%
SNY-1.32%$120.34B+3.11%4.25%
CMG1.34%$80.02B+33.62%0.00%
ROL1.48%$23.98B+23.53%1.25%

Inversely Correlated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
MCK-16.89%$78.15B+35.51%0.42%
EDR-16.25%$9.01B+19.26%0.82%
COR-15.25%$47.48B+21.20%0.86%
RBRK-13.27%$8.03B+38.16%0.00%
CBOE-13.26%$21.46B+15.84%1.11%
FCN-11.34%$7.10B-10.74%0.00%
RNR-10.46%$13.74B+23.09%0.58%
HUSA-7.79%$16.69M-11.56%0.00%
STG-6.41%$35.67M+7.92%0.00%
BACK-6.26%$1.76M-32.90%0.00%
CYD-5.99%$364.46M-2.94%4.26%
PGR-5.45%$149.10B+57.29%0.45%
CAH-5.29%$28.64B+12.14%1.70%
ACGL-5.24%$36.00B+16.84%0.00%
QTTB-4.24%$354.34M+188.64%0.00%
MRK-3.98%$244.21B-5.55%3.18%
CPSH-3.85%$20.70M-40.13%0.00%
ABEO-3.65%$256.04M+41.25%0.00%
CYCN-2.97%$4.77M-16.19%0.00%
LPLA-2.53%$23.55B+38.13%0.38%

ETF's related to
ETD

Correlated ETFs

NameCorrelationAUMExpense Ratio
XSHD70.70%$54.49M0.3%
IJS69.01%$7.37B0.18%
VIOV68.82%$1.44B0.15%
SLYV68.50%$4.16B0.15%
RZV68.15%$258.76M0.35%
RWJ67.67%$1.75B0.39%
CALF67.49%$8.93B0.59%
IJR67.29%$90.05B0.06%
VBR67.21%$32.03B0.07%
SPSM67.03%$12.72B0.03%
IWN66.93%$13.17B0.24%
FYX66.87%$959.00M0.6%
DES66.80%$2.13B0.38%
NUSC66.76%$1.27B0.31%
VIOO66.74%$3.12B0.1%
REGL66.44%$1.65B0.4%
XSLV66.36%$322.27M0.25%
PRFZ66.33%$2.65B0.39%
SMDV66.17%$754.57M0.4%
EES66.14%$668.71M0.38%

Inversely Correlated ETFs

NameCorrelationAUMExpense Ratio
BTAL-47.67%$388.04M1.43%
USDU-29.90%$201.97M0.5%
UUP-29.07%$309.25M0.77%
VIXY-25.82%$195.31M0.85%
CTA-13.02%$350.27M0.78%
EQLS-12.94%$76.08M1%
BSCO-7.40%$2.35B0.1%
KCCA-6.47%$220.51M0.87%
TAIL-6.42%$67.98M0.59%
KMLM-6.26%$353.87M0.9%
UNG-6.05%$908.80M1.06%
WEAT-5.64%$120.27M0.28%
CORN-2.24%$61.12M0.2%
FLTR-1.93%$1.79B0.14%
BOXX-1.65%$4.43B0.1949%
SGOV-1.61%$27.53B0.09%
HIGH-1.53%$302.78M0.51%
CSHI-0.46%$482.85M0.38%
AGZD-0.31%$142.76M0.23%
HDRO0.28%$164.26M0.3%

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