Spectrum Brands Holdings, Inc. logo

SPB: Spectrum Brands Holdings, Inc.

Stock

About

Spectrum Brands Holdings, Inc. engages in the manufacture and supply of consumer products and home essentials. The firm operates through the following segments: Home and Personal Care (HPC), Global Pet Care (GPC), and Home and Garden (H&G). The GPC segment focuses on the pet care business. The H&G segment is involved in the home and garden, cleaning products, and insect control business. The HPC segment includes the small kitchen and personal care appliances business. The company was founded in 1906 and is headquartered in Middleton, WI.

Year Founded
1906
Employees
3,100
Sector
Consumer Staples
HQ Location
Middleton, WI

Current Value

$92.17

1 Year Return

$16.26
21.42%

Key Details

Market Cap

$2.58B

P/E Ratio

24.32

1Y Stock Return

19.83%

1Y Revenue Growth

1.54%

Dividend Yield

1.77%

Price to Book

1.2

Strategies that include
SPB

Low risk

$3,400

0.17%

Consumer Staples Sector

capital preservation
balanced
income

This strategy focuses on consumer staples companies, including food, beverage, household products, and retail firms. Offering stability and defensive characteristics, it's often less sensitive to economic cycles.

Top Sector

Consumer Staples

Top Holdings

Costco Wholesale Corp logo
Walmart Inc logo
Procter & Gamble Co. logo
Coca-Cola Co logo
Philip Morris International Inc logo

Return

+10.16%

Expense Ratio

0.00%

Holdings

101

Medium risk

$33,000

0.00%

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

Return

+15.41%

Expense Ratio

0.00%

Holdings

994

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strategy with

SPB
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SPB

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CENT59.84%$2.69B+13.61%0.00%
YETI55.31%$3.72B-6.68%0.00%
ICUI50.17%$3.92B+85.33%0.00%
ECPG49.93%$1.16B+11.69%0.00%
CSGS48.69%$1.56B+3.61%2.18%
SHOO47.28%$3.14B+8.72%1.92%
HCAT46.70%$509.30M+14.03%0.00%
SN45.38%$13.91B+110.30%0.00%
EQIX44.24%$92.79B+19.79%1.76%
SITM43.36%$5.70B+116.38%0.00%
KVYO42.63%$10.40B+27.72%0.00%
PDM42.39%$1.14B+38.82%5.41%
PKST41.56%$465.69M-27.40%6.99%
KW41.05%$1.53B-5.43%6.37%
HBI40.84%$2.96B+121.90%0.00%
NTLA40.18%$1.50B-47.71%0.00%
MBC40.09%$2.09B+9.77%0.00%
ETD39.78%$774.60M+5.99%4.97%
MFA39.63%$1.11B-1.09%12.79%

Uncorrelated Stocks

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NAPA-0.03%$1.63B+18.14%0.00%
HMN0.03%$1.69B+23.62%3.25%
IHRT0.08%$357.39M+2.10%0.00%
SAIA-0.08%$13.91B+29.50%0.00%
USAP0.15%$416.33M+179.17%0.00%
RAPT-0.18%$38.10M-93.67%0.00%
NNVC-0.21%$21.23M+28.70%0.00%
EDN-0.24%$1.01B+132.45%0.00%
CBOE0.25%$21.25B+13.78%1.16%
RPT0.30%$135.81M-37.18%9.33%
EG-0.30%$15.58B-8.50%2.14%
CPSH-0.31%$22.95M-32.48%0.00%
ALTG-0.31%$254.08M-29.84%2.93%
JMIA-0.31%$472.33M+37.91%0.00%
XOS-0.33%$29.79M-35.14%0.00%
POAI-0.35%$5.54M-71.92%0.00%
KC-0.35%$2.29B+125.50%0.00%
FLXS-0.37%$310.71M+227.80%1.03%
SMC-0.38%$399.01M+114.73%0.00%
DESP-0.40%$1.10B+94.94%0.00%

Inversely Correlated Stocks

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MCK-22.28%$74.13B+26.36%0.46%
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UGP-15.50%$3.33B-40.55%4.11%
EPAM-14.88%$14.19B-9.43%0.00%
IRWD-14.85%$595.30M-63.64%0.00%
PULM-14.17%$21.77M+223.91%0.00%
FBIO-12.60%$58.52M-33.96%0.00%
QURE-11.95%$745.77M+113.99%0.00%
OXBR-11.34%$22.54M+251.46%0.00%
RLMD-10.97%$14.18M-80.82%0.00%
RBLX-9.27%$36.92B+33.82%0.00%
STVN-8.82%$5.81B-23.30%0.27%
COR-8.51%$45.81B+16.21%0.89%
VIST-8.33%$5.31B+86.15%0.00%
NEUE-8.18%$43.41M-19.51%0.00%
GLOB-8.07%$9.61B-3.94%0.00%
WMG-7.88%$16.66B-5.91%2.19%
BBD-7.52%$11.07B-30.90%1.85%
PRPO-7.36%$8.76M-5.79%0.00%
LPG-7.19%$1.03B-29.13%0.00%

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RSPA49.42%$269.76M0%
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FXD48.84%$1.62B0.61%
QVAL48.10%$389.21M0.29%
XRT47.92%$442.53M0.35%
VB47.47%$66.93B0.05%
FMDE47.45%$2.11B0.23%
RSPD47.35%$307.66M0.4%
SCHM47.16%$11.94B0.04%
IWS47.16%$14.14B0.23%
JHMM47.00%$4.28B0.42%
IWR46.98%$40.99B0.19%
SMMD46.90%$1.39B0.15%
VBK46.82%$20.66B0.07%
FXH46.74%$1.16B0.62%
ESML46.70%$1.96B0.17%
SMOT46.69%$396.62M0.49%
NUSC46.68%$1.32B0.31%
MDY46.56%$25.51B0.24%

Uncorrelated ETFs

NameCorrelationAUMExpense Ratio
CLOI-0.03%$773.20M0.4%
CCOR0.07%$107.34M1.18%
DBE-0.85%$49.18M0.77%
USCI1.03%$191.19M1.07%
SOYB1.03%$26.90M0.22%
SMB1.15%$270.16M0.07%
BILZ1.20%$558.25M0.14%
COMT1.59%$703.26M0.48%
DBO-1.65%$210.06M0.77%
IBTE-1.74%$1.56B0.07%
TBLL1.83%$1.91B0.08%
CORN1.87%$61.14M0.2%
ULST-1.88%$536.61M0.2%
GSG2.20%$937.99M0.75%
PWZ2.36%$713.57M0.28%
DBA-2.68%$793.07M0.93%
MEAR-2.69%$736.97M0.25%
URNJ2.85%$292.42M0.8%
SHYD2.87%$312.95M0.35%
URNM2.92%$1.64B0.75%

Inversely Correlated ETFs

NameCorrelationAUMExpense Ratio
VIXY-27.94%$195.31M0.85%
USDU-19.25%$211.42M0.5%
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UUP-15.56%$386.70M0.77%
AGZD-10.95%$132.89M0.23%
EQLS-8.56%$8.94M1%
FLRT-8.15%$417.00M0.6%
CTA-8.11%$380.14M0.76%
HDRO-7.14%$164.26M0.3%
KCCA-6.61%$123.70M0.87%
KMLM-5.95%$332.27M0.9%
HIGH-5.85%$298.33M0.52%
MEAR-2.69%$736.97M0.25%
DBA-2.68%$793.07M0.93%
ULST-1.88%$536.61M0.2%
IBTE-1.74%$1.56B0.07%
DBO-1.65%$210.06M0.77%
DBE-0.85%$49.18M0.77%
CLOI-0.03%$773.20M0.4%
CCOR0.07%$107.34M1.18%

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Information on this page is obtained from our data provider, Xignite, an unaffiliated third party. Double believes the information shown here is reliable, but has not been verified and there is no guarantee that the information is accurate. We also show information based on calculations performed by Double using data from our provider. Double believes this information is reliable, but has not verified the data and there is no guarantee that the calculations are accurate.

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