British American Tobacco p.l.c. (BTI) Stock Analysis
NYSEConsumer DefensiveTobacco
What British American Tobacco p.l.c. does
British American Tobacco p.l.c. provides tobacco and nicotine products to consumers in the United States, Europe, Latin America, Canada, the Asia-Pacific, the Middle East, Central Asia, Caucasus, and Africa. The company offers vapour products; heated products, which consists of a battery-powered device and a plant-based substance consumable that is heated; modern oral products, such as nicotine pouches; combustibles, including cigarette sticks and other tobacco stick products; traditional oral products, such as snus and moist snuff; and fine cut/roll-your-own tobacco products. It sells its products under the Vuse, glo, Velo, Grizzly, Kodiak, Dunhill, Kent, Lucky Strike, Pall Mall, Rothmans, Newport, Natural American Spirit, and Camel Snus brands, as well as Vogue, Viceroy, Kool, Peter Stuyvesant, Craven A, and State Express 555 brands. The company distributes its products to retail outlets. British American Tobacco p.l.c. was founded in 1902 and is headquartered in London, the United Kingdom.
Key metrics
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PortView Portfolio Insights
PortView analyzes how BTI fits your actual portfolio — position weight, portfolio concentration, unrealized gain/loss, contribution to return, sector exposure, indirect exposure through the ETFs you hold, and correlation with your other holdings. Connect a portfolio to see your personalized figures; PortView never shows another user's private holdings.
Analyze BTI in PortView →Frequently asked questions
- What is the ticker symbol for British American Tobacco p.l.c.?
- British American Tobacco p.l.c. trades under the ticker BTI on NYSE.
- Which exchange is BTI listed on?
- BTI is listed on NYSE.
- What sector does British American Tobacco p.l.c. operate in?
- British American Tobacco p.l.c. is classified in the Consumer Defensive sector (Tobacco industry).
- How can PortView help analyze BTI in a portfolio?
- PortView shows BTI's weight in your portfolio, its contribution to return and risk, sector exposure, indirect exposure through ETFs you own, and correlation with your other holdings.
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