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Benelux Stocks

🌍 By Region 19 stocks Updated: 06 Jul 2026 🌐 DE

Belgian, Dutch, and Luxembourg-listed stocks — semiconductor equipment, specialty chemicals, consumer goods, and financial companies from Western Europe's economic heart.

Results: 19
Total Mkt Cap: $129B
Avg Price: $668.1
Sorted by: Mkt Cap ↓
Ticker Company Price Mkt Cap P/E Div. Yield Sector
UCB.BR UCB $254.40 -1.97% $48.43B 31.7x 0.57% Healthcare
BESI.AS BE Semiconductor Industries $258.10 -5.49% $20.44B 135.1x 0.61% Technology
WKL.AS Wolters Kluwer $57.88 +0.45% $12.92B 10.3x 4.35% Industrials
LOTB.BR Lotus Bakeries $11,360.00 -3.57% $9.23B 53.6x 0.79% Consumer Defensive
ACKB.BR Ackermans and van Haaren $279.20 -1.41% $9.13B 15.4x 1.65% Industrials
WDP.BR Warehouses De Pauw $22.02 -1.26% $5.3B 13.4x 5.59% Real Estate
IMCD.AS IMCD Group $85.08 +1.89% $5.02B 23.1x 2.13% Basic Materials
COLR.BR Colruyt $36.14 -0.44% $4.3B 12.9x 3.82% Consumer Defensive
MELE.BR Melexis $79.40 +1.08% $3.13B 29x 6.05% Technology
BFIT.AS Basic-Fit $32.72 -0.43% $2.14B 148.7x Consumer Cyclical
BEKB.BR Bekaert $40.40 -0.62% $1.96B 30.4x 4.83% Industrials
TWEKA.AS TKH Group $43.88 +0.14% $1.75B 18.5x 3.08% Technology
CRBN.AS Corbion $20.34 -1.26% $1.17B 16x 3.15% Basic Materials
FLOW.AS Flow Traders $25.96 +1.25% $1.13B 8.7x Financial Services
SIP.BR Sipef $90.20 -1.85% $942.6M 8.6x 4.77% Consumer Defensive
OCI.AS OCI Global $4.06 +0.6% $855.7M Basic Materials
PNL.AS PostNL $0.92 -1.07% $468.5M 4.34% Industrials
AXS.AS Accsys Technologies $0.87 -0.23% $211.4M 28.9x Basic Materials
ONTEX.BR Ontex Group $2.38 -2.26% $189.8M 11.9x Consumer Defensive

Analysis and Context

This geographic screener shows 19 stocks from the selected region — updated daily. The average P/E ratio of regional stocks is 35.1x. The average dividend yield is 3.27%. International diversification reduces home market bias and opens access to growth markets and valuations unavailable in domestic indices. Sector Industrials dominates this region with 4 companies. The average analyst price target upside is 17.9%. Factor in currency risk, different accounting standards (IFRS vs. US-GAAP), political risk, and local market liquidity before investing internationally. European stocks historically trade at a discount to US peers — this may reflect structural undervaluation or a deserved premium for lower growth prospects.

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