BLMN
NASDAQStockBloomin' Brands, Inc.
$5.46+0.01 (+0.28%)
52-Week Range
$5.44
$10.54
Key Stats
Market Cap
464.9M
P/E Ratio
49.59
Dividend Yield
7.79%
Beta
1.09
Volume
2.0M
Avg Volume
3.5M
Performance
1M
-15.92%
3M
-22.17%
6M
-20.93%
YTD
-14.73%
1Y
-36.37%
3Y
-78.59%
5Y
-81.12%
Price Chart
ETF Exposure
BLMN is held by 120 ETFs
| ETF | Fund Name | Weight |
|---|---|---|
| AOA | iShares Core 80/20 Aggressive Allocation ETF | 0.00% |
| AOK | iShares Core 30/70 Conservative Allocation ETF | 0.00% |
| AOM | iShares Core 40/60 Moderate Allocation ETF | 0.00% |
| AOR | iShares Core 60/40 Balanced Allocation ETF | 0.00% |
| DFAC | Dimensional - US Core Equity 2 ETF | 0.00% |
| DFUS | Dimensional - US Equity Market ETF | 0.00% |
| ITDB | iShares LifePath Target Date 2030 ETF | 0.00% |
| ITDC | iShares LifePath Target Date 2035 ETF | 0.00% |
| ITDD | iShares LifePath Target Date 2040 ETF | 0.00% |
| ITDE | iShares LifePath Target Date 2045 ETF | 0.00% |
| ITDF | iShares LifePath Target Date 2050 ETF | 0.00% |
| ITDG | iShares LifePath Target Date 2055 ETF | 0.00% |
| ITDH | iShares LifePath Target Date 2060 ETF | 0.00% |
| ITDI | iShares LifePath Target Date 2065 ETF | 0.00% |
| ITDJ | iShares LifePath Target Date 2070 ETF | 0.00% |
| MMTM | State Street SPDR S&P 1500 Momentum Tilt ETF | 0.00% |
| VCNS.TO | Vanguard Conservative ETF Portfolio | 0.00% |
| VEQT.TO | Vanguard All-Equity ETF Portfolio | 0.00% |
| VRIF.TO | Vanguard Retirement Income ETF Portfolio | 0.00% |
| XEQT.TO | iShares Core Equity ETF Portfolio | 0.00% |
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About BLMN ETF Exposure
Bloomin' Brands, Inc. (BLMN) is held by 120 exchange-traded funds, making it one of the stocks with significant ETF exposure. With a market capitalization of 464.9M, BLMN is a widely held institutional stock. The stock currently trades at $5.46 with a dividend yield of 7.79%. Investors can gain exposure to BLMN through a variety of ETFs with different expense ratios, investment strategies, and portfolio weightings. The table above shows all ETFs that currently hold BLMN, sorted by portfolio weight.