GME: GameStop Corp.

Stock

About

GameStop Corp. offers games and entertainment products through its ecommerce properties and stores. It operates through the following geographic segments: United States, Canada, Australia, and Europe. Each segment consists primarily of retail operations, including stores and ecommerce properties focused on games, entertainment products, and technology. GameStop offers new and pre-owned gaming platforms from the major console and PC manufacturers, sells new and pre-owned gaming software for current and certain prior generation consoles, and offers a variety of in-game digital currency, digital downloadable content, and full-game downloads. The firm’s stores and ecommerce sites operate primarily under the names GameStop, EB Games, and Micromania. Its pop culture themed stores also sell collectibles, apparel, gadgets, electronics, toys, and other retail products for technology enthusiasts and general consumers in international markets operating under the Zing Pop Culture brand. The company also publishes Game Informer, a print and digital gaming publication. GameStop was founded by Daniel A. DeMatteo in 1996 and is headquartered in Grapevine, TX.

Year Founded
1996
Employees
8,000
Sector
Consumer Discretionary
HQ Location
Grapevine, TX

Current Value

$27.26

1 Year Return

$14.61
115.49%

Key Details

Market Cap

$11.76B

P/E Ratio

213.89

1Y Stock Return

119.68%

1Y Revenue Growth

-21.70%

Dividend Yield

0.00%

Price to Book

2.7

Strategies that include
GME

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

Medium risk

$33,000

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

Return

+15.03%

Expense Ratio

0.00%

Holdings

995

Medium risk

$5,000

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

Return

+11.00%

Expense Ratio

0.00%

Holdings

400

Create your own
strategy with

GME
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Stock's related to
GME

Correlated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
AMC74.33%$1.63B-34.74%0.00%
ACIU40.62%$325.95M+7.92%0.00%
SFIX34.77%$480.74M+11.14%0.00%
BB34.42%$1.39B-34.90%0.00%
SPCE33.29%$196.64M-84.01%0.00%
TWST31.34%$2.42B+74.27%0.00%
MVIS29.25%$198.19M-60.14%0.00%
PSFE29.01%$1.06B+42.18%0.00%
CRMT28.84%$337.96M-46.71%0.00%
ABR28.67%$2.78B+21.00%11.72%
AMCX28.34%$396.64M-43.07%0.00%
BARK28.31%$274.85M+106.10%0.00%
ARCT28.21%$489.20M-21.27%0.00%
HR28.16%$6.26B+23.58%7.10%
FNKO28.14%$547.26M+55.39%0.00%
PETS28.00%$93.60M-41.21%0.00%
LOCO27.75%$361.37M+39.70%0.00%
FVRR27.68%$1.07B+33.94%0.00%
NVAX27.23%$1.28B+49.53%0.00%
PLUG27.15%$1.75B-46.14%0.00%

Uncorrelated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
BCSF<0.01%$1.09B+11.63%9.96%
MET-<0.01%$57.21B+32.74%2.60%
LIN0.03%$211.44B+7.81%1.23%
CLRB-0.03%$65.31M-24.77%0.00%
PRI-0.03%$9.94B+42.36%1.02%
MOH0.05%$16.16B-21.56%0.00%
DFS0.05%$43.31B+100.72%1.62%
GDDY-0.05%$26.31B+101.81%0.00%
PWP-0.07%$1.45B+124.87%1.11%
STVN0.09%$4.95B-32.48%0.32%
DVA-0.10%$12.87B+60.92%0.00%
NTRS0.10%$21.38B+42.72%2.77%
ENSG0.11%$8.28B+33.91%0.17%
TDY-0.11%$21.66B+18.31%0.00%
LLY0.11%$692.74B+23.14%0.71%
DLTR-0.11%$13.95B-44.11%0.00%
IBKR-0.12%$20.20B+131.83%0.37%
CNO-0.12%$4.02B+51.36%1.60%
EPM0.13%$198.21M+0.68%8.19%
GNK0.14%$735.44M+16.37%9.95%

Inversely Correlated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
SRG-25.44%$221.13M-55.94%0.00%
CB-16.38%$114.43B+26.00%1.24%
ACGL-15.69%$36.00B+16.84%0.00%
TCTM-15.62%$8.10M-42.99%0.00%
UFI-13.62%$102.66M-11.22%0.00%
FF-13.19%$227.57M+21.57%4.55%
ALL-12.20%$52.06B+45.67%1.85%
LIVN-11.39%$2.79B+18.18%0.00%
MMC-11.14%$108.41B+10.89%1.37%
BNED-10.82%$277.22M-91.94%0.00%
GALT-10.72%$172.91M+41.28%0.00%
RNR-10.63%$13.74B+23.09%0.58%
MCK-10.53%$78.15B+35.51%0.42%
AJG-10.45%$64.17B+17.51%0.80%
CMLS-10.43%$13.08M-84.44%0.00%
CAH-10.37%$28.64B+12.14%1.70%
CNA-10.02%$13.16B+23.03%3.61%
MSGS-9.93%$5.33B+30.70%0.00%
CXM-9.63%$1.97B-48.51%0.00%
RSG-9.45%$66.05B+31.79%1.04%

ETF's related to
GME

Correlated ETFs

NameCorrelationAUMExpense Ratio
ESPO45.82%$267.94M0.56%
XRT36.33%$451.85M0.35%
RSPA34.38%$273.87M0%
SFYF33.75%$19.96M0.29%
ARKG30.17%$1.13B0.75%
IBUY27.65%$176.17M0.65%
ARKK26.60%$6.28B0.75%
PBW26.38%$301.18M0.65%
EDOC25.63%$40.86M0.68%
PAWZ25.14%$65.72M0.5%
AOK24.24%$617.23M0.15%
IPO23.53%$157.08M0.6%
PRNT23.31%$95.35M0.66%
FMB23.04%$2.03B0.65%
ROBT22.92%$441.35M0.65%
IZRL22.82%$102.75M0.49%
ARKW22.68%$1.69B0.87%
ONLN22.38%$89.65M0.58%
IDRV22.16%$180.64M0.47%
CWB22.07%$3.94B0.4%

Uncorrelated ETFs

NameCorrelationAUMExpense Ratio
IBHD-0.03%$327.80M0.35%
DVOL-0.03%$54.72M0.6%
FLRT-0.08%$401.26M0.6%
BSCO-0.16%$2.35B0.1%
FLTR-0.32%$1.79B0.14%
CLOI0.51%$715.40M0.4%
FLRN0.66%$2.33B0.15%
TBLL-0.81%$1.92B0.08%
IBD1.41%$330.68M0.44%
GBIL-1.44%$5.60B0.12%
CSHI-1.48%$482.85M0.38%
DBMF-1.55%$1.02B0.85%
URNM1.70%$1.61B0.75%
KCCA-1.71%$220.51M0.87%
XHLF-1.73%$874.27M0.03%
HIGH-1.74%$302.78M0.51%
DUSB1.75%$797.63M0.15%
JBBB1.91%$1.26B0.49%
FMF-1.97%$244.61M0.95%
ULST2.02%$535.47M0.2%

Inversely Correlated ETFs

NameCorrelationAUMExpense Ratio
BTAL-28.09%$388.04M1.43%
UUP-17.53%$309.25M0.77%
USDU-14.43%$201.97M0.5%
IBTE-14.03%$1.70B0.07%
EQLS-12.86%$76.08M1%
SGOV-12.14%$27.53B0.09%
KMLM-10.13%$353.87M0.9%
FLOT-7.75%$7.31B0.15%
VIXY-7.70%$195.31M0.85%
IAK-7.20%$760.79M0.39%
CTA-6.73%$350.27M0.78%
BILZ-5.15%$563.02M0.14%
AGZD-5.13%$142.76M0.23%
TBIL-4.95%$4.38B0.15%
MINT-4.62%$11.62B0.35%
XBIL-4.35%$637.70M0.15%
CCOR-4.25%$109.04M1.18%
KIE-4.10%$956.77M0.35%
SHV-3.95%$18.13B0.15%
IGBH-3.66%$93.85M0.14%

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