Compare NWL & EXG Stocks: Price Trends, ML Decisions, Charts, Trends, Technical Analysis and more.
Current Price
| Metric | NWL | EXG |
|---|---|---|
| Founded | 1903 | N/A |
| Country | United States | United States |
| Employees | N/A | N/A |
| Industry | Plastic Products | Finance Companies |
| Sector | Industrials | Finance |
| Exchange | Nasdaq | Nasdaq |
| Market Cap | 2.7B | 3.0B |
| IPO Year | 1995 | 2006 |
| Metric | NWL | EXG |
|---|---|---|
| Price | $6.10 | $9.99 |
| Analyst Decision | Buy | |
| Analyst Count | 9 | 0 |
| Target Price | ★ $4.97 | N/A |
| AVG Volume (30 Days) | ★ 6.5M | 377.1K |
| Earning Date | 05-01-2026 | 01-01-0001 |
| Dividend Yield | ★ 7.11% | N/A |
| EPS Growth | N/A | ★ N/A |
| EPS | ★ 0.17 | N/A |
| Revenue | ★ $14,742,200,000.00 | N/A |
| Revenue This Year | $1.19 | N/A |
| Revenue Next Year | $1.58 | N/A |
| P/E Ratio | $35.56 | ★ N/A |
| Revenue Growth | ★ 11.14 | N/A |
| 52 Week Low | $3.07 | $8.25 |
| 52 Week High | $7.13 | $10.16 |
| Indicator | NWL | EXG |
|---|---|---|
| Relative Strength Index (RSI) | 53.66 | 56.45 |
| Support Level | $5.76 | $9.44 |
| Resistance Level | $6.28 | $10.16 |
| Average True Range (ATR) | 0.28 | 0.08 |
| MACD | -0.03 | -0.01 |
| Stochastic Oscillator | 52.29 | 73.99 |
Newell Brands Inc is an American consumer goods company with a portfolio of brands, including Rubbermaid, Sharpie, Graco, Coleman, Rubbermaid Commercial Products, Yankee Candle, Paper Mate, FoodSaver, Dymo, EXPO, Elmer's, Oster, NUK, Spontex and Campingaz. The group is focused on delighting consumers by lighting up everyday moments. Its segments are Home and Commercial Solutions, Learning and Development, and Outdoor and Recreation. The group geographic areas are the United States, Canada, Europe, the Middle East and Africa, Asia Pacific, and Latin America.
Eaton Vance Tax-Mgd Glbl Div Eq Inc is a diversified, closed-end management investment company. Its primary investment objective is to provide current income and gains. The secondary focus of the fund is capital appreciation. It invests in a diversified portfolio of domestic and foreign common stocks, emphasizing dividend-paying stocks. It writes call options on one or more U.S. and foreign indices for a portion of the value of its common stock portfolio to generate current cash flow from the options premium received. Its portfolio of investments consists of capital markets, banks, internet and direct marketing retail, biotechnology, media, oil, gas, consumable fuels, and other sectors.