Industry: Personal Services (70 stocks)

StockMarket Cap Dividend YieldP/E RatioDividend Frequency Years Paying DGR
0922.HK ANXIANYUAN CH 44.6 million 0.00% 7.80 2 5 5%
1161.HK WATER OASIS GP 78.0 million 0.00% 8.90 2 24 30%
1448.HK FU SHOU YUAN 1.1 billion 0.03% 21.22 2 12 12%
2198.T IKK HOLDINGS INC 161.0 million 0.00% 13.47 1 4 -
2300.T KYOKUTO CO LTD 18.1 million 0.02% 14.17 - 23 6%
2305.T STUDIO ALICE 240.1 million 0.00% 28.61 1 16 10%
2344.T HEIAN CEREMONY SERVICE CO 68.3 million 1.94% 8.99 2 23 4%
2418.T TSUKADA GLOBAL HOLDINGS INC 192.0 million 1.09% 5.31 2 3 -
2424.T BRASS CORPORATION 22.1 million 0.01% 11.36 - 4 -
2437.T SHINWA WISE HLDGS CO LTD 28.4 million 2.24% -5.42 - 2 -
2438.T ASUKANET CO LIMITED 47.1 million 0.00% 45.74 1 21 -2%
2485.T TEAR CORPORATION 70.7 million 0.00% 13.36 2 13 17%
3997.HK TSO 8.8 million 0.00% -7.57 3 1 -
4331.T TAKE & GIVE NEEDS CO 90.1 million 0.00% 9.65 1 3 -
6039.T JAPAN ANIMAL REFERRAL MED CNTR 44.9 million 0.82% 13.74 - 2 -
6060.T COCOLONET CO LTD 22.4 million 0.03% 7.43 - 14 -
6071.T IBJ INC 157.6 million 0.92% 14.80 1 9 11%
6184.T KAMAKURA SHINSHO LTD 110.9 million 0.00% 29.46 1 8 10%
6186.T ICHIKURA CO LTD 14.9 million 6.98% 5.01 1 10 22%
6571.T QB NET HOLDINGS CO LTD 95.5 million 0.02% 15.76 - 4 -
6966.HK C WAN TONG YUAN 68.3 million 0.02% - - - -
7040.T SUN LIFE HOLDING CO LTD 38.8 million 0.03% 4.98 - 8 -12%
7042.T ACCESS GROUP HLDGS CO LTD 11.6 million 1.64% 6.40 - 3 -
7062.T FUREASU CO LTD 11.9 million 1.33% -61.71 - 4 -
7084.T SMILE HOLDINGS INC 26.7 million 0.00% 19.26 - 1 -
7358.T POPPINS CORPORATION 74.3 million 3.32% 10.21 1 5 -
7378.T ASIRO INC 79.5 million 0.00% 79.01 1 4 -
7502.T PLAZA HOLDINGS CO LTD 11.7 million 2.74% 14.61 - 13 30%
7523.T ART VIVANT CO LTD 64.2 million 0.03% 7.25 - 26 30%
8483.HK Max Sight Group Holdings Limited 8.7 million 4.46% - 2 1 -
9251.T AB&COMPANY CO LTD 86.2 million 2.87% 11.52 - 4 -
9581.SR Clean Life Co. 44.8 million 0.02% 14.64 - 2 -
9628.T SAN HOLDINGS INC (JAPAN) 160.6 million 1.19% 10.33 2 25 12%
9731.T HAKUYOSHA COMPANY LTD 72.7 million 0.00% 4.35 2 3 -
AHX.AX APIAM FPO [AHX] 42.9 million 4.88% 12.17 2 2 -
BFAM Bright Horizons Family Solution 6.9 billion 0.00% 50.35 - - -
CSV Carriage Services, Inc. 604.2 million 1.13% 18.39 4 15 6%
CVSGF CVS Group plc 1.8 billion 0.36% 45.88 - - -
CVSG.L CVS GROUP PLC ORD 0.2P 9.0 million 0.01% 35.08 1 4 -
DSEY Diversey Holdings, Ltd. 2.7 billion - - - - -
EJH E-Home Household Service Holdin 225.9 million 0.00% -0.01 - - -
EM Smart Share Global Limited 293.3 million 0.00% 56.50 - - -
ESPA3.SA ESPACOLASER ON NM 44.2 million 0.00% 71 - 1 -
FONDIA.HE Fondia Oyj 21.0 million 5.42% 30.88 1 8 -11%
FTDR frontdoor, inc. 3.0 billion 0.00% 13.18 - - -
HRB H&R Block, Inc. Contenders 7.6 billion 0.00% 15.98 4 41 5%
IVC.AX InvoCare Limited 1.2 billion 1.74% 90.50 2 20 -4%
IVP Inspire Veterinary Partners, In 3.7 million 0.00% -0.07 - - -
KLINIQ.BK KLINIQ_THE KLINIQUE MEDICAL 199.6 million 4.36% 20.72 - 3 -
MED MEDIFAST INC 144.3 million 0.00% 69.42 4 - -
MER.L MEARS GROUP PLC ORD 1P 4.1 million 0.00% 9.02 - 5 30%
MFD.AX MAYFIELD FPO [MFD] 20.5 million 1.19% -21.25 1 7 -30%
MRM MEDIROM Healthcare Technologies 3.4 million 0.00% -4.34 - - -
MUSTI.HE Musti Group Plc 768.9 million 0.00% 184.09 2 4 -
PFP.AX PROPEL FP FPO [PFP] 464.5 million 2.73% 32.94 2 8 4%
PLC.TO PARK LAWN CORPORATION 653.7 million 1.72% - 4 19 -
PLWN Pinelawn Cemetery - 7.22% - 2 6 9%
PRRWF Park Lawn Corporation 488.6 million 2.72% 28.33 10 7 19%
RGS Regis Corporation 42.6 million 0.00% 0.48 5 - -
ROL Rollins, Inc. Contenders 26.5 billion 1.30% 57.01 4 41 24%
SCI Service Corporation Internation Contenders 11.7 billion 1.54% 23.05 4 21 11%
SHJ.AX SHINE CORP FPO 78.9 million 4.58% 36 2 13 -2%
SPA.BK SPA_SIAM WELLNESS GROUP 155.4 million 1.94% 17.57 2 2 -
STON StoneMor Inc. 416.7 million 18.86% -6.24 - - -
TMX Terminix Global Holdings, Inc. 4.6 billion - 8.00 - - -
WOSSF Water Oasis Group Limited 123.8 million 18.69% 7.50 2 16 30%
WW WW International, Inc. 41.7 million 0.00% -0.12 4 - -
XPS.L XPS PENSIONS GROUP PLC ORD GBP0 10.4 million 0.00% 13.45 2 9 8%
XSPA XpresSpa Group, Inc. 61.8 million - 21.83 - - -
YYGH YY Group Holding Limited Class A Ordinary Shares 46.3 million - 31.25 - - -