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Basic Materials
Companies that manufacture chemicals, building materials, and paper products. This sector also includes companies engaged in commodities exploration and processing. Companies in this sector include ArcelorMittal, BHP Billiton, and Rio Tinto.
Market Cap
1.623T
Market Weight
2.39%
Industries
14
Companies
264
Basic Materials S&P 500 ^GSPC
Loading Chart for Basic Materials
DELL

Day Return

Sector
0.57%
S&P 500
1.46%

YTD Return

Sector
5.44%
S&P 500
1.78%

1-Year Return

Sector
7.58%
S&P 500
22.93%

3-Year Return

Sector
9.39%
S&P 500
38.22%

5-Year Return

Sector
57.32%
S&P 500
83.51%

Note: Sector performance is calculated based on the previous closing price of all sector constituents

Industries in This Sector

Select an Industry for a Visual Breakdown

IndustryMarket WeightYTD Return
All Industries
100.00%
5.44%
Specialty Chemicals
41.99%
5.09%
Gold
15.86%
9.00%
Building Materials
10.63%
5.51%
Copper
8.27%
0.38%
Agricultural Inputs
7.14%
13.20%
Steel
6.52%
5.20%
Chemicals
3.37%
3.37%
Other Industrial Metals & Mining
2.34%
5.07%
Lumber & Wood Production
1.33%
3.76%
Aluminum
0.82%
-5.85%
Other Precious Metals & Mining
0.73%
-3.89%
Coking Coal
0.41%
-30.05%
Paper & Paper Products
0.30%
0.81%
Silver
0.29%
25.61%

Note: Percentage % data on heatmap indicates Day Return

Largest Companies in This Sector

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Table View
Heatmap View
Name
Last Price
1Y Target Est.
Market Weight
Market Cap
Day Change %
YTD Return
Avg. Analyst Rating
439.49 452.90 15.73% 209.267B +0.05% +4.97%
Buy
364.17 386.97 6.89% 91.717B +1.12% +7.13%
Buy
94.14 100.03 5.59% 74.409B -2.45% +3.30%
Hold
326.62 348.23 5.46% 72.633B -0.80% +12.61%
Buy
246.20 272.21 5.24% 69.714B +1.71% +5.07%
Buy
99.03 113.54 5.05% 67.168B -2.20% +7.04%
Buy
36.67 48.90 3.96% 52.692B -3.02% -3.70%
Buy
41.57 53.14 3.56% 47.325B -1.12% +11.69%
Buy
64.47 66.64 3.33% 44.31B +0.80% +13.18%
Buy
274.99 292.47 2.73% 36.315B -0.92% +6.90%
Buy

Investing in the Basic Materials Sector

Start Investing in the Basic Materials Sector Through These ETFs and Mutual Funds

ETF Opportunities

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Name
Last Price
Net Assets
Expense Ratio
YTD Return
89.05 5.482B 0.09% +5.84%
198.00 3.833B 0.10% +5.41%
58.68 1.541B 0.35% +3.40%
50.79 522.391M 0.08% +5.40%
137.07 506.388M 0.39% +5.50%

Mutual Fund Opportunities

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Name
Last Price
Net Assets
Expense Ratio
YTD Return
100.91 3.833B 0.10% +5.43%
87.82 738.74M 0.72% +4.72%
83.16 738.74M 0.72% +4.66%
87.39 738.74M 0.72% +4.71%
86.13 738.74M 0.72% +4.69%

Basic Materials Research

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Discover the Latest Analyst and Technical Research for This Sector

  • Weekly Stock List

    Will 2025 be a bullish year for stocks, especially after the big up year in 2024? Our forecasts say yes. Our target price for the S&P 500 is 6700, about 10%-12% above current levels. Our economic, earnings, and valuation models support a forecast for a positive year for stocks. We believe the stock market will take its cues from two sources in 2025: the Fed and earnings growth. We expect earnings growth of 12%, following a 9% increase in 2024; that interest rates will trend lower as the Fed continues to ease; and that valuations will hold steady. In a certain-to-be-unpredictable investing environment, we present 10 key themes that we believe will be important in 2025. Some of these blur boundaries between sectors. This is by design. While we have specific sector recommendations (i.e., over-weight Information Technology, Financial), we believe some factors supersede industry characteristics and can drive performance for diversified groups or portfolios of stocks. Here are our Investment Themes for 2025: Theme 1: Management Signals; Theme 2: Artificial Intelligence; Theme 3: Clean Energy; Theme 4: Sustainable Impact investing; Theme 5: Innovation; Theme 6: Cybersecurity; Theme 7: Investing in the Cloud; Theme 8: Aerospace and Defense, All Systems Go; Theme 9: Uptick in Capex amid Declining Interest Rates; and Theme 10: Pharmaceuticals and Biotechnology. For this week's list, we take a deep dive into Theme 1, Management Signals. Argus recommends that investors pay close attention to companies sending upbeat signals to the market by raising guidance and increasing dividends. We think consistent -- and accelerated -- dividend growth at a company gives three important signals to investors in a stock: the company's balance sheet is strong enough to pay a dividend; management is mindful of shareholder returns, which include dividends; and a significant dividend increase can be a message from management that the near-term outlook for a company is promising, even during an economic slowdown. We especially like companies that have grown their dividends at an average double-digit pace over the past five years. The top five companies in the following list have consistently raised guidance. The next five companies have grown their dividends at an average double-digit pace over the past five years.

     
  • Daily – Vickers Top Buyers & Sellers for 01/27/2025

    The Vickers Top Buyers & Sellers is a daily report that identifies the five companies the largest insider purchase transactions based on the dollar value of the transactions as well as the five companies the largest insider sales transactions based on the dollar value of the transactions.

     
  • Daily – Vickers Top Insider Picks for 01/27/2025

    The Vickers Top Insider Picks is a daily report that utilizes a proprietary algorithm to identify 25 companies with compelling insider purchase histories based on transactions over the past three months.

     
  • Morningstar | A Weekly Summary of Stock Ideas and Developments in the Companies We Cover

    In this edition, a look at the utilities 2025 outlook; Federal Realty's stock pitch; and BorgWarner's EV strategy holds promise; and Elevance, Verizon Communications, and Air Products & Chemicals.

     

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