Low Beta Stocks (2025)
The stocks with betas less than 1.0, indicating lower volatility than the overall market.

Beta: 0.01 - 1
Ticker
Company
Exchange
Industry
Zen Rating
Market Cap
Price
1d %
EBITDA
P/E
D/E
Country
DD Score
RGC
REGENCELL BIOSCIENCE HOLDINGS LTD
NASDAQ
Drug Manufacturers - Specialty & Generic
$6.56B$13.263.27%-$3.56M-1,473.33x0.03
Hong Kong
MSN
EMERSON RADIO CORP
NYSEMKT
Consumer Electronics
$8.63M$0.41-2.38%-$4.68M-1.78x0.15
United States
MO
ALTRIA GROUP INC
NYSE
Tobacco
$111.80B$66.55-0.06%$11.95B12.87x-10.92
United States
MRK
MERCK & CO INC
NYSE
Drug Manufacturers - General
$211.59B$84.710.79%$25.03B13.03x1.40
United States
FTS
FORTIS INC
NYSE
Utilities - Regulated Electric
$24.69B$49.23-0.91%$2.87B19.83x2.00
Canada
FAAS
DIGIASIA CORP
NASDAQ
Software - Infrastructure
$12.18M$0.22-3.13%N/AN/A2.36
Singapore
ZOOZ
ZOOZ POWER LTD
NASDAQ
Specialty Retail
$28.66M$2.36-13.87%-$12.27M-2.13x-45.87
Israel
RZLV
REZOLVE AI PLC
NASDAQ
Software - Infrastructure
$889.27M$4.27-1.16%-$161.82M-4.03x-1.52
United Kingdom
REYN
REYNOLDS CONSUMER PRODUCTS INC
NASDAQ
Packaging & Containers
$5.00B$23.790.93%$630.00M15.97x1.26
United States
AISP
AIRSHIP AI HOLDINGS INC
NASDAQ
Software - Infrastructure
$137.21M$4.30-0.92%-$43.35M-2.42x-1.22
United States
CNF
CNFINANCE HOLDINGS LTD
NYSE
Mortgage Finance
$31.96M$4.6694.17%N/A-4.18x2.11
China
KHC
KRAFT HEINZ CO
NASDAQ
Packaged Foods
$32.30B$27.291.22%-$5.80B-6.09x0.97
United States
CJMB
CALLAN JMB INC
NASDAQ
Software - Application
$21.78M$4.860.00%-$4.54M-3.35x0.54
United States
AMBI
AMBIPAR EMERGENCY RESPONSE
NYSEMKT
Waste Management
$251.65M$4.54-0.22%$174.75M23.65x2.75
Brazil
WEC
WEC ENERGY GROUP INC
NYSE
Utilities - Regulated Electric
$34.69B$107.790.29%$4.12B20.57x2.67
United States
EVOK
EVOKE PHARMA INC
NASDAQ
Drug Manufacturers - Specialty & Generic
$8.12M$5.21-1.51%-$4.83M-2.79x2.67
United States
DGNX
DIGINEX LTD
NASDAQ
Software - Application
$1.50B$65.191.95%-$4.68M-197.55x0.37
Hong Kong
KOSS
KOSS CORP
NASDAQ
Consumer Electronics
$58.16M$6.151.32%-$612.47k-68.33x0.22
United States
PAVS
PARANOVUS ENTERTAINMENT TECHNOLOGY LTD
NASDAQ
Packaged Foods
$55.62M$0.83-11.37%-$7.25M-8.26x0.27
China
NSYS
NORTECH SYSTEMS INC
NASDAQ
Medical Devices
$25.68M$9.301.31%-$1.36M-7.56x1.24
United States
FDSB
FIFTH DISTRICT BANCORP INC
NASDAQ
Banks - Regional
$77.67M$13.970.04%$2.94M27.39x3.12
United States
AMOD
ALPHA MODUS HOLDINGS INC
NASDAQ
Asset Management
$37.09M$0.88-9.52%$3.80M1.05x-0.20
United States
ADAG
ADAGENE INC
NASDAQ
Biotechnology
$103.69M$2.202.80%-$28.44M-3.45x0.76
China
BENF
BENEFICIENT
NASDAQ
Asset Management
$3.57M$0.413.78%$5.01M0.05x-1.77
United States
ORIS
ORIENTAL RISE HOLDINGS LTD
NASDAQ
Packaged Foods
$2.51M$0.11-0.87%$3.26M0.67x0.03
China
VSEE
VSEE HEALTH INC
NASDAQ
Health Information Services
$11.00M$0.670.00%-$57.75M-0.12x-1,082.38
United States
ESP
ESPEY MFG & ELECTRONICS CORP
NYSEMKT
Electrical Equipment & Parts
$141.91M$50.121.83%$9.20M17.96x0.57
United States
CDTG
CDT ENVIRONMENTAL TECHNOLOGY INVESTMENT HOLDINGS LTD
NASDAQ
Waste Management
$6.03M$0.56-8.69%$2.40M3.98x1.39
China
HLN
HALEON PLC
NYSE
Drug Manufacturers - Specialty & Generic
$44.51B$9.80-0.41%$3.12B23.90x1.12
United Kingdom
ALVO
ALVOTECH
NASDAQ
Drug Manufacturers - Specialty & Generic
$2.60B$8.333.61%$165.19M34.71x-9.04
Luxembourg
BCIC
BCP INVESTMENT CORP
NASDAQ
Asset Management
$160.28M$12.150.16%$9.57M-13.06x1.60
United States
CMS
CMS ENERGY CORP
NYSE
Utilities - Regulated Electric
$27.44B$71.550.01%$3.74B20.98x3.42
United States
FCN
FTI CONSULTING INC
NYSE
Consulting Services
$5.46B$168.740.16%$377.61M23.40x0.84
United States
AFRI
FORAFRIC GLOBAL PLC
NASDAQ
Farm Products
$221.13M$8.22-2.03%-$3.82M-9.45x-143.91
United States
CALM
CAL-MAINE FOODS INC
NASDAQ
Farm Products
$5.52B$113.830.67%$1.70B4.55x0.20
United States
CARL
CARLSMED INC
NASDAQ
Medical Devices
$338.64M$12.74-1.32%N/AN/A-0.33
United States
CVR
CHICAGO RIVET & MACHINE CO
NYSEMKT
Tools & Accessories
$8.89M$9.20-3.36%-$2.58M-1.97x0.18
United States
JFBR
JEFFS' BRANDS LTD
NASDAQ
Internet Retail
$372.43k$3.691.10%-$5.42M-0.02x1.47
Israel
IGIC
INTERNATIONAL GENERAL INSURANCE HOLDINGS LTD
NASDAQ
Insurance - Diversified
$1.04B$24.18-0.04%N/A8.57x2.21
Jordan
SO
SOUTHERN CO
NYSE
Utilities - Regulated Electric
$100.96B$91.78-0.10%$13.84B23.53x2.99
United States
CBFV
CB FINANCIAL SERVICES INC
NASDAQ
Banks - Regional
$164.81M$32.81-1.03%$14.71M16.32x9.00
United States
DIT
AMCON DISTRIBUTING CO
NYSEMKT
Food Distribution
$74.22M$114.99-1.67%$23.48M52.51x2.48
United States
SWKH
SWK HOLDINGS CORP
NASDAQ
Asset Management
$177.59M$14.62-2.08%$28.70M10.30x0.16
United States
EBMT
EAGLE BANCORP MONTANA INC
NASDAQ
Banks - Regional
$139.56M$17.55-0.51%$21.82M12.36x10.76
United States
NCRA
NOCERA INC
NASDAQ
Packaged Foods
$22.67M$1.581.15%-$1.82M-9.45x0.18
United States
THCH
TH INTERNATIONAL LTD
NASDAQ
Restaurants
$81.40M$2.51-0.99%N/A-1.65x-2.42
United States
KVUE
KENVUE INC
NYSE
Household & Personal Products
$35.73B$18.62-9.35%$2.96B24.83x1.53
United States
VGAS
VERDE CLEAN FUELS INC
NASDAQ
Utilities - Renewable
$133.20M$2.990.00%-$3.73M-7.29x0.09
United States
HSCS
HEARTSCIENCES INC
NASDAQ
Medical Devices
$6.44M$3.330.00%-$8.14M-0.36x19.58
United States
FBLG
FIBROBIOLOGICS INC
NASDAQ
Biotechnology
$24.04M$0.57-3.37%-$12.55M-1.59x15.17
United States
COR
CENCORA INC
NYSE
Medical Distribution
$56.71B$292.50-0.07%$3.27B29.82x36.23
United States
JTAI
JETAI INC
NASDAQ
Software - Application
$7.36M$3.150.00%-$11.28M0.07x0.28
Cayman Islands
MAAS
MAASE INC
NASDAQ
Asset Management
$15.96M$3.865.04%N/A-1.15x1.16
China
AGH
AUREUS GREENWAY HOLDINGS INC
NASDAQ
Leisure
$54.20M$3.7115.94%N/A-72.75x0.16
United States
CTGO
CONTANGO ORE INC
NYSEMKT
Gold
$273.41M$21.580.89%$6.17M-86.32x-65.04
United States
ARTNA
ARTESIAN RESOURCES CORP
NASDAQ
Utilities - Regulated Water
$342.59M$33.240.99%$51.20M15.98x2.35
United States
LOCL
LOCAL BOUNTI CORPORATION
NYSE
Farm Products
$50.44M$2.28-1.72%-$46.09M-0.16x-4.22
United States
SOBR
SOBR SAFE INC
NASDAQ
Scientific & Technical Instruments
$4.85M$3.20-2.74%-$7.40M0.03x0.35
United States
TAIT
TAITRON COMPONENTS INC
NASDAQ
Electronics & Computer Distribution
$12.86M$2.140.95%$59.00k-19.41x0.13
United States
SGU
STAR GROUP LP
NYSE
Oil & Gas Refining & Marketing
$394.88M$11.75-0.68%$140.98M7.53x1.86
United States
BMY
BRISTOL MYERS SQUIBB CO
NYSE
Drug Manufacturers - General
$95.95B$47.140.96%$13.07B18.93x4.43
United States
UL
UNILEVER PLC
NYSE
Household & Personal Products
$157.68B$64.31-1.08%$12.54B24.30x3.15
United Kingdom
DBGI
DIGITAL BRANDS GROUP INC
NASDAQ
Apparel Retail
$37.95M$8.45-7.60%-$10.33M0.31x2.92
United States
HNNA
HENNESSY ADVISORS INC
NASDAQ
Asset Management
$94.70M$12.16-2.33%$16.19M9.65x0.64
United States
GNTA
GENENTA SCIENCE SPA
NASDAQ
Biotechnology
$64.01M$3.500.00%-$9.64M-6.57x0.19
Italy
AEP
AMERICAN ELECTRIC POWER CO INC
NASDAQ
Utilities - Regulated Electric
$57.82B$108.11-0.49%$8.93B15.81x2.57
United States
COEP
COEPTIS THERAPEUTICS HOLDINGS INC
NASDAQ
Biotechnology
$59.15M$12.273.24%-$8.95M-2.59x0.84
United States
MTAL
MAC COPPER LTD
NYSE
Copper
$1.00B$12.160.00%$138.83M-23.84x1.81
Jersey
HIHO
HIGHWAY HOLDINGS LTD
NASDAQ
Metal Fabrication
$7.20M$1.64-2.68%$753.00k81.75x0.52
Hong Kong
BCE
BCE INC
NYSE
Telecom Services
$22.75B$24.721.02%$5.90B73.57x2.92
Canada
MDV
MODIV INDUSTRIAL INC
NYSE
REIT - Diversified
$155.02M$15.26-0.46%$33.63M-33.91x1.77
United States
FXNC
FIRST NATIONAL CORP
NASDAQ
Banks - Regional
$211.78M$23.560.77%$12.92M28.05x10.76
United States
NVCT
NUVECTIS PHARMA INC
NASDAQ
Biotechnology
$170.05M$6.682.45%-$22.07M-5.71x0.60
United States
KIDZ
CLASSOVER HOLDINGS INC
NASDAQ
Education & Training Services
$24.47M$0.99-3.50%-$4.05M-0.00x7.17
United States
BGM
BGM GROUP LTD
NASDAQ
Drug Manufacturers - Specialty & Generic
$52.39M$7.25-2.16%-$5.83M-25.89x0.13
China
LVTX
LAVA THERAPEUTICS NV
NASDAQ
Biotechnology
$41.30M$1.571.29%-$30.64M-1.27x2.04
Netherlands
NXXT
NEXTNRG INC
NASDAQ
Software - Application
$191.27M$1.54-3.14%-$40.27M-0.44x-2.88
United States
GMM
GLOBAL MOFY AI LTD
NASDAQ
Information Technology Services
$38.37M$2.190.00%$15.46M1.09x0.32
China
NVS
NOVARTIS AG
NYSE
Drug Manufacturers - General
$251.14B$129.731.02%$27.72B18.77x1.49
Switzerland
SNY
SANOFI
NASDAQ
Drug Manufacturers - General
$117.47B$46.502.58%$18.05B10.71x0.78
France
ABVE
ABOVE FOOD INGREDIENTS INC
NASDAQ
Packaged Foods
$47.08M$1.65-10.33%N/AN/A-1.98
Canada
BTI
BRITISH AMERICAN TOBACCO PLC
NYSE
Tobacco
$122.91B$56.021.06%N/A29.56x1.40
United Kingdom
RAY
RAYTECH HOLDING LTD
NASDAQ
Household & Personal Products
$25.37M$0.58-10.32%$1.34M9.54x0.23
Hong Kong
RMBI
RICHMOND MUTUAL BANCORPORATION INC
NASDAQ
Banks - Regional
$153.20M$14.72-1.21%$11.51M16.36x10.63
United States
PG
PROCTER & GAMBLE CO
NYSE
Household & Personal Products
$374.83B$160.020.52%$23.83B23.99x1.40
United States
UNB
UNION BANKSHARES INC
NASDAQ
Banks - Regional
$117.70M$25.86-0.73%$11.17M12.68x19.78
United States
GURE
GULF RESOURCES INC
NASDAQ
Chemicals
$10.01M$0.755.63%-$5.54M-0.30x0.16
China
COHN
COHEN & CO INC
NYSEMKT
Capital Markets
$24.65M$12.111.00%$8.19M10.91x23.97
United States
STRW
STRAWBERRY FIELDS REIT INC
NYSEMKT
REIT - Healthcare Facilities
$147.60M$11.86-2.31%$81.98M20.45x38.11
United States
MATH
METALPHA TECHNOLOGY HOLDING LTD
NASDAQ
Internet Content & Information
$129.55M$3.281.55%$16.01M8.00x5.75
Hong Kong
TAK
TAKEDA PHARMACEUTICAL CO LTD
NYSE
Drug Manufacturers - Specialty & Generic
$48.11B$15.400.72%$8.01B52.92x1.04
Japan
COE
51TALK ONLINE EDUCATION GROUP
NYSEMKT
Education & Training Services
$286.84M$47.997.90%N/AN/A-3.85
China
INLX
INTELLINETICS INC
NYSEMKT
Software - Application
$50.66M$11.310.04%-$226.33k-28.28x0.48
United States
DGICA
DONEGAL GROUP INC
NASDAQ
Insurance - Property & Casualty
$688.55M$18.86-3.13%$106.88M7.83x2.98
United States
SAFT
SAFETY INSURANCE GROUP INC
NASDAQ
Insurance - Property & Casualty
$1.08B$72.58-0.67%$102.66M14.81x1.69
United States
PC
PREMIUM CATERING (HOLDINGS) LTD
NASDAQ
Specialty Business Services
$16.96M$7.050.71%-$1.04M-7.12x1.04
Singapore
AKO.B
ANDINA BOTTLING CO INC
NYSE
Beverages - Non-Alcoholic
$3.84B$24.320.00%$472.42M14.55x2.33
Chile
CZWI
CITIZENS COMMUNITY BANCORP INC
NASDAQ
Banks - Regional
$164.72M$16.49-0.84%$19.09M13.09x8.89
United States
FKWL
FRANKLIN WIRELESS CORP
NASDAQ
Communication Equipment
$48.43M$4.11-0.24%-$806.57k-29.36x0.32
United States
DALN
DALLASNEWS CORP
NASDAQ
Publishing
$79.48M$14.85-0.07%-$2.83M-15.31x0.98
United States
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