Masonite International (DOOR) Stock Analysis
NYSEIndustrialsConstruction
What Masonite International does
Masonite International Corporation is a global leader specializing in the design, manufacturing, marketing, and distribution of a comprehensive range of interior and exterior doors. The company's products are vital for new construction projects and also cater to the repair, renovation, and remodeling needs within both residential and non-residential building sectors worldwide. Its extensive product line includes various residential door options such as molded panel, flush, stile and rail, steel, and fiberglass doors. Additionally, Masonite supplies specialized interior doors made from medium-density fiberboard (MDF) and architectural designs. Beyond finished doors, the company also produces a variety of essential door components, including interior door facings, agri-fiber and particleboard door cores, MDF and wood cut-stock parts, and other critical door elements. Masonite markets its offerings under numerous well-known brands, including Masonite, Premdor, Masonite Architectural, Marshfield-Algoma, USA Wood Door, Solidor, Residor, Nicedor, Door-Stop International, Harring Doors, National Hickman, Graham-Maiman, Louisiana Millwork, Baillargeon, and BWI. The company serves a diverse client base, reaching remodeling contractors, builders, homeowners, retailers, dealers, lumberyards, commercial and general contractors, and architects through wholesale, retail, and direct distribution networks. Established in 1925, Masonite International Corporation maintains its headquarters in Tampa, Florida.
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Frequently asked questions
- What is the ticker symbol for Masonite International?
- Masonite International trades under the ticker DOOR on NYSE.
- Which exchange is DOOR listed on?
- DOOR is listed on NYSE.
- What sector does Masonite International operate in?
- Masonite International is classified in the Industrials sector (Construction industry).
- How can PortView help analyze DOOR in a portfolio?
- PortView shows DOOR'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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