LCI Industries logo

LCII: LCI Industries

Stock

About

LCI Industries engages in the manufacture, supply, and distribution of components for the original equipment manufacturers (OEM) of recreational vehicles and manufactured homes. It operates through the OEM and Aftermarket segments. The OEM segment offers components for buses, trailers used to haul boats, livestock, equipment and other cargo, trucks, pontoon boats, trains, manufactured homes, and modular housing. The Aftermarket segment includes training, product delivery, marketing, and technical support to customers, and the sale of replacement glass and awnings to fulfill insurance claims. The company was founded on March 20, 1984 and is headquartered in Elkhart, IN.

Year Founded
1956
Employees
11,700
Sector
Consumer Discretionary
HQ Location
Elkhart, IN

Current Value

$118.05

1 Year Return

$3.99
399.00%

Key Details

Market Cap

$3.00B

P/E Ratio

22.91

1Y Stock Return

0.74%

1Y Revenue Growth

-1.72%

Dividend Yield

3.34%

Price to Book

2.1

Strategies that include
LCII

High risk

$9,600

0.07%

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

Amazon.com Inc. logo
Tesla Inc logo
Home Depot, Inc. logo
McDonald`s Corp logo
Booking Holdings Inc logo

Return

+18.63%

Expense Ratio

0.00%

Holdings

272

High risk

$13,000

0.39%

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

Alaska Air Group Inc. logo
GATX Corp. logo
Matson Inc logo
Air Lease Corp - Ordinary Shares - Class A logo
Boise Cascade Co logo

Return

+15.77%

Expense Ratio

0.00%

Holdings

562

High risk

$8,600

0.20%

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

Carpenter Technology Corp. logo
Comerica, Inc. logo
Bath & Body Works Inc logo
Alaska Air Group Inc. logo
Glaukos Corporation logo

Return

+10.20%

Expense Ratio

0.00%

Holdings

591

Create your own
strategy with

LCII
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Stock's related to
LCII

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NameCorrelationMarket CapReturn % (1 Year)Div Yield %
WGO79.60%$1.65B-18.47%2.21%
THO79.42%$5.64B-3.74%1.83%
BC75.79%$5.00B-14.14%2.21%
CWH70.59%$1.45B-5.44%2.10%
PATK70.56%$3.03B+51.69%1.66%
PII69.62%$3.63B-26.11%4.07%
AVNT67.01%$4.49B+29.57%2.10%
APAM65.67%$3.37B+18.22%5.87%
UFPI65.57%$8.03B+12.17%1.01%
BCC65.15%$5.47B+30.03%0.58%
CVCO64.44%$4.03B+55.03%0.00%
SITE64.41%$6.64B-3.35%0.00%
PAG63.75%$10.92B+4.89%2.49%
MC63.55%$5.24B+36.09%3.24%
MBUU63.30%$872.00M-7.91%0.00%
FUL63.21%$4.06B-7.18%1.18%
FBIN63.07%$9.72B+2.84%1.23%
CCS62.69%$2.66B+6.21%1.24%
TPH62.50%$3.79B+26.85%0.00%
KBH62.43%$5.45B+28.39%1.29%

Uncorrelated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
HIHO0.10%$8.41M-3.55%3.83%
RLMD0.13%$12.60M-83.30%0.00%
DXCM-0.15%$31.43B-34.20%0.00%
CL0.25%$75.79B+16.84%2.12%
SCKT-0.32%$10.95M+24.14%0.00%
MRK0.43%$252.33B-6.87%3.02%
GIS-0.58%$36.36B-3.45%3.61%
WMT0.58%$762.85B+84.93%0.65%
BSX0.62%$133.47B+60.34%0.00%
CPSH-0.68%$23.24M-33.05%0.00%
CHKP0.70%$20.69B+26.44%0.00%
GLP0.73%$1.82B+38.67%5.28%
BTCT-0.78%$34.32M+134.56%0.00%
VSTA0.96%$174.77M-47.85%0.00%
WHLM-1.16%$21.45M-5.24%0.00%
NHTC1.36%$53.54M-16.82%17.24%
EQC1.38%$179.25M-91.40%0.00%
LRN1.42%$4.63B+70.60%0.00%
EW-1.46%$43.53B-1.87%0.00%
NNVC1.46%$20.52M+23.28%0.00%

Inversely Correlated Stocks

NameCorrelationMarket CapReturn % (1 Year)Div Yield %
HUSA-14.13%$16.88M-22.29%0.00%
MCK-13.87%$73.21B+25.15%0.46%
PGR-10.30%$142.78B+51.81%0.47%
LLY-9.82%$755.68B+33.23%0.65%
COR-9.70%$44.82B+13.83%0.90%
STG-9.04%$33.13M-22.10%0.00%
PG-8.34%$401.84B+14.84%2.31%
RNR-7.95%$14.06B+34.40%0.57%
LITB-7.55%$31.07M-76.13%0.00%
CBOE-7.09%$21.21B+13.51%1.16%
ACGL-7.09%$35.39B+26.22%0.00%
NEUE-6.45%$41.42M-26.79%0.00%
CHD-5.44%$25.87B+11.17%1.06%
CYD-5.43%$368.54M+11.08%4.20%
AJG-5.36%$62.22B+15.65%0.84%
UTHR-4.78%$16.17B+40.95%0.00%
CAH-4.39%$28.42B+8.67%1.70%
MNR-3.59%$1.56B-9.73%21.33%
WM-3.40%$86.10B+19.80%1.39%
MMC-2.46%$105.27B+6.19%1.41%

ETF's related to
LCII

Uncorrelated ETFs

NameCorrelationAUMExpense Ratio
TBIL0.38%$4.51B0.15%
ULST-0.47%$536.61M0.2%
BOXX-0.48%$4.47B0.1949%
BIL-0.63%$34.60B0.1356%
SOYB0.82%$27.03M0.22%
MINT0.95%$11.84B0.35%
BILZ-1.52%$558.31M0.14%
XBIL-1.71%$632.27M0.15%
HDRO-1.73%$164.26M0.3%
AGZD2.13%$132.89M0.23%
KCCA-2.23%$124.61M0.87%
HIGH-3.26%$298.61M0.52%
WEAT-3.57%$123.72M0.28%
DBA3.90%$793.07M0.93%
JUCY4.62%$324.29M0.6%
SGOV4.83%$28.86B0.09%
CSHI5.27%$481.10M0.38%
DBE6.73%$49.18M0.77%
KRBN-6.92%$220.88M0.85%
CTA-7.18%$392.57M0.76%

Inversely Correlated ETFs

NameCorrelationAUMExpense Ratio
VIXY-34.12%$195.31M0.85%
USDU-22.83%$211.42M0.5%
TAIL-21.27%$66.62M0.59%
UUP-21.20%$386.70M0.77%
EQLS-10.49%$8.94M1%
KMLM-9.07%$333.70M0.9%
CORN-9.05%$61.94M0.2%
CLOI-8.87%$789.22M0.4%
UNG-8.36%$817.57M1.06%
BSCO-8.20%$2.14B0.1%
CTA-7.18%$392.57M0.76%
KRBN-6.92%$220.88M0.85%
WEAT-3.57%$123.72M0.28%
HIGH-3.26%$298.61M0.52%
KCCA-2.23%$124.61M0.87%
HDRO-1.73%$164.26M0.3%
XBIL-1.71%$632.27M0.15%
BILZ-1.52%$558.31M0.14%
BIL-0.63%$34.60B0.1356%
BOXX-0.48%$4.47B0.1949%

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