Low Beta Stocks (2026)
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
TC
TOKEN CAT LTD
NASDAQ
Internet Content & Information
$0.00$10.48-0.81%N/A-0.06x5.18
China
FLD
FOLD HOLDINGS INC
NASDAQ
Capital Markets
$59.90M$1.244.20%-$29.24M-0.80x1.02
United States
HUHU
HUHUTECH INTERNATIONAL GROUP INC
NASDAQ
Specialty Industrial Machinery
$144.83M$6.250.32%-$10.92M-12.02x2.23
China
MNDO
MIND CTI LTD
NASDAQ
Software - Application
$24.48M$1.190.00%$3.04M9.15x0.31
Israel
PEW
GRABAGUN DIGITAL HOLDINGS INC
NYSE
Aerospace & Defense
$95.02M$3.222.55%-$2.06M-24.77x0.22
United States
MTEN
MINGTENG INTERNATIONAL CORP INC
NASDAQ
Metal Fabrication
$52.77k$1.54-1.72%-$6.00M-0.01x0.80
China
BTBD
BT BRANDS INC
NASDAQ
Restaurants
$9.29M$1.514.14%$257.18k-10.79x0.55
United States
WFCF
WHERE FOOD COMES FROM INC
NASDAQ
Software - Application
$61.29M$12.140.00%$2.88M40.47x0.39
United States
OCS
OCULIS HOLDING AG
NASDAQ
Biotechnology
$1.51B$26.022.32%-$125.34M-10.74x0.20
Switzerland
GURE
GULF RESOURCES INC
NASDAQ
Chemicals
$6.45M$4.670.00%-$37.43M-0.10x0.23
China
MCK
MCKESSON CORP
NYSE
Medical Distribution
$115.54B$943.250.25%$6.55B27.07x-65.56
United States
CBFV
CB FINANCIAL SERVICES INC
NASDAQ
Banks - Regional
$174.05M$34.291.93%$7.11M35.35x8.82
United States
SVRN
OCEANPAL INC
NASDAQ
Marine Shipping
$79.77k$0.26-25.57%-$11.70M-0.00x0.06
Greece
COR
CENCORA INC
NYSE
Medical Distribution
$67.28B$345.88-1.16%$3.19B41.27x39.96
United States
DIT
AMCON DISTRIBUTING CO
NYSEMKT
Food Distribution
N/A$115.903.61%$21.83M70.24x2.32
United States
PRHI
PRESURANCE HOLDINGS INC
NASDAQ
Insurance - Property & Casualty
$8.18M$0.67-8.61%-$23.50M-0.31x10.26
United States
ELUT
ELUTIA INC
NASDAQ
Medical Devices
$45.78M$1.07-0.93%$55.79M0.83x1.25
United States
QTI
QT IMAGING HOLDINGS INC
NASDAQ
Medical Devices
$79.98M$6.7212.19%-$16.41M-3.52x-2.34
United States
WEC
WEC ENERGY GROUP INC
NYSE
Utilities - Regulated Electric
$38.38B$117.900.47%$4.05B24.36x2.78
United States
CMS
CMS ENERGY CORP
NYSE
Utilities - Regulated Electric
$23.98B$78.270.57%$3.93B22.17x3.31
United States
CFBK
CF BANKSHARES INC
NASDAQ
Banks - Regional
$186.99M$28.720.67%$22.00M10.64x10.48
United States
ESLA
ESTRELLA IMMUNOPHARMA INC
NASDAQ
Biotechnology
$44.19M$1.17-7.14%-$13.50M-3.16x-1.36
United States
GIPR
GENERATION INCOME PROPERTIES INC
NASDAQ
REIT - Diversified
$1.96M$0.360.00%-$1.05M-0.19x-18.98
United States
CME
CME GROUP INC
NASDAQ
Financial Data & Stock Exchanges
$112.55B$313.830.78%$5.78B28.07x5.91
United States
MRK
MERCK & CO INC
NYSE
Drug Manufacturers - General
$285.39B$115.43-0.16%$28.25B15.81x1.60
United States
ALOT
ASTRONOVA INC
NASDAQ
Computer Hardware
$67.22M$8.802.09%-$6.86M-3.93x0.83
United States
FLO
FLOWERS FOODS INC
NYSE
Packaged Foods
$1.88B$8.891.14%$359.16M22.23x2.21
United States
ARTNA
ARTESIAN RESOURCES CORP
NASDAQ
Utilities - Regulated Water
$329.30M$31.93-2.41%$52.83M14.58x2.35
United States
PFSA
PROFUSA INC
NASDAQ
Medical Devices
$768.91k$0.88-4.25%-$28.31M-0.00x-1.13
United States
ZEO
ZEO ENERGY CORP
NASDAQ
Solar
$54.71M$0.95-0.11%-$15.55M-1.61x-7.22
United States
ACFN
ACORN ENERGY INC
NASDAQ
Scientific & Technical Instruments
$50.05M$19.974.88%$2.38M19.77x0.61
United States
SELF
GLOBAL SELF STORAGE INC
NASDAQ
REIT - Industrial
$57.37M$5.06-0.59%$4.29M31.63x0.38
United States
CLX
CLOROX CO
NYSE
Household & Personal Products
$13.55B$112.091.27%$1.29B18.26x-44.62
United States
BCE
BCE INC
NYSE
Telecom Services
$24.15B$25.901.29%$10.78B5.19x2.47
Canada
ABX
ABACUS GLOBAL MANAGEMENT INC
NYSE
Insurance - Life
$957.70M$9.921.22%$109.78M26.11x1.14
United States
SKYH
SKY HARBOUR GROUP CORP
NYSEMKT
Aerospace & Defense
$707.99M$9.323.56%$8.27M-46.60x3.38
United States
FDSB
FIFTH DISTRICT BANCORP INC
NASDAQ
Banks - Regional
$81.57M$14.770.00%$4.37M20.23x3.11
United States
BMY
BRISTOL MYERS SQUIBB CO
NYSE
Drug Manufacturers - General
$121.60B$59.711.07%$13.34B17.21x3.87
United States
HLN
HALEON PLC
NYSE
Drug Manufacturers - Specialty & Generic
$46.82B$10.464.29%$3.57B20.80x0.98
United Kingdom
KVUE
KENVUE INC
NYSE
Household & Personal Products
$33.95B$17.711.26%$2.94B23.00x1.52
United States
HTO
H2O AMERICA
NASDAQ
Utilities - Regulated Water
$2.12B$58.68-0.42%$308.00M20.03x2.34
United States
EMPG
EMPRO GROUP INC
NASDAQ
Medical Distribution
N/A$17.360.00%$1.51M157.82x4.10
Malaysia
IGIC
INTERNATIONAL GENERAL INSURANCE HOLDINGS LTD
NASDAQ
Insurance - Diversified
$1.01B$24.072.38%N/A8.33x1.96
Jordan
RMCF
ROCKY MOUNTAIN CHOCOLATE FACTORY INC
NASDAQ
Confectioners
$23.33M$2.505.93%-$1.97M-4.63x2.45
United States
BRFH
BARFRESH FOOD GROUP INC
NASDAQ
Beverages - Non-Alcoholic
$43.60M$2.73-6.51%-$2.44M-14.37x2.54
United States
RSSS
RESEARCH SOLUTIONS INC
NASDAQ
Software - Application
$75.68M$2.30-0.43%$5.18M17.69x1.57
United States
ZBAI
ATIF HOLDINGS LTD
NASDAQ
Capital Markets
$7.22M$5.50-4.96%-$4.58M-0.99x0.08
China
CRWS
CROWN CRAFTS INC
NASDAQ
Furnishings Fixtures & Appliances
$28.67M$2.68-2.55%-$4.73M-3.01x0.94
United States
EBMT
EAGLE BANCORP MONTANA INC
NASDAQ
Banks - Regional
$167.04M$20.970.87%$27.82M11.04x9.98
United States
SMA
SMARTSTOP SELF STORAGE REIT INC
NYSE
REIT - Industrial
$1.81B$32.622.74%$133.45M-163.10x0.98
United States
HNVR
HANOVER BANCORP INC
NASDAQ
Banks - Regional
$151.33M$21.102.43%$14.10M20.89x10.90
United States
XBP
XBP GLOBAL HOLDINGS INC
NASDAQ
Software - Infrastructure
$65.10M$5.54-3.48%N/AN/A6.26
United States
HNNA
HENNESSY ADVISORS INC
NASDAQ
Asset Management
$76.63M$9.71-0.21%$14.92M8.44x0.61
United States
REED
REED's INC
NYSEMKT
Beverages - Non-Alcoholic
$39.54M$4.427.80%-$14.25M5.53x6.23
United States
PG
PROCTER & GAMBLE CO
NYSE
Household & Personal Products
$353.53B$152.120.98%$24.38B22.01x1.40
United States
INV
INNVENTURE INC
NASDAQ
Asset Management
$228.65M$3.661.10%-$296.82M-0.55x0.79
United States
CALM
CAL-MAINE FOODS INC
NASDAQ
Farm Products
$4.18B$87.77-0.09%$1.62B3.70x0.17
United States
ARTW
ARTS WAY MANUFACTURING CO INC
NASDAQ
Farm & Heavy Construction Machinery
$11.44M$2.21-1.34%$2.66M11.05x0.69
United States
IVA
INVENTIVA SA
NASDAQ
Biotechnology
$581.63M$6.081.50%-$122.05M-1.39x-21.09
France
UL
UNILEVER PLC
NYSE
Household & Personal Products
$142.70B$65.432.15%$16.86B12.84x3.41
United Kingdom
VGAS
VERDE CLEAN FUELS INC
NASDAQ
Utilities - Renewable
$87.32M$1.964.26%-$3.99M-5.60x0.10
United States
KO
COCA COLA CO
NYSE
Beverages - Non-Alcoholic
$334.68B$77.820.62%$18.67B25.51x2.19
United States
ZURA
ZURA BIO LTD
NASDAQ
Biotechnology
$408.35M$6.281.78%-$64.23M-9.66x0.24
United States
REYN
REYNOLDS CONSUMER PRODUCTS INC
NASDAQ
Packaging & Containers
$4.49B$21.35-0.56%$614.00M14.93x1.19
United States
CTGO
CONTANGO ORE INC
NYSEMKT
Gold
$382.35M$22.73-2.61%-$28.04M-8.12x5.85
United States
BGL
BLUE GOLD LTD
NASDAQ
Gold
$49.56M$1.511.34%-$7.93M-2.80x-3.33
Cayman Islands
NSYS
NORTECH SYSTEMS INC
NASDAQ
Medical Devices
$26.85M$9.644.74%$171.00k-10.14x1.24
United States
DCX
DIGITAL CURRENCY X TECHNOLOGY INC
NASDAQ
Auto Manufacturers
$46.30k$1.716.21%-$28.25M-0.00x-3.41
China
BCIC
BCP INVESTMENT CORP
NASDAQ
Asset Management
$98.35M$7.94-5.81%$32.09M7.63x1.50
United States
PAVS
PARANOVUS ENTERTAINMENT TECHNOLOGY LTD
NASDAQ
Packaged Foods
$317.16k$0.47-70.93%-$5.12M-0.24x0.38
China
THCH
TH INTERNATIONAL LTD
NASDAQ
Restaurants
$71.16M$2.19-0.09%N/A-1.48x-2.24
United States
HWBK
HAWTHORN BANCSHARES INC
NASDAQ
Banks - Regional
$231.14M$33.490.96%$31.34M9.74x9.88
United States
BGM
BGM GROUP LTD
NASDAQ
Drug Manufacturers - Specialty & Generic
$6.73M$0.93-7.82%-$5.83M-3.33x0.13
China
YORW
YORK WATER CO
NASDAQ
Utilities - Regulated Water
$455.85M$31.550.25%$43.75M22.70x1.83
United States
RMBI
RICHMOND MUTUAL BANCORPORATION INC
NASDAQ
Banks - Regional
$139.93M$13.390.45%$13.56M12.28x9.89
United States
ICMB
INVESTCORP CREDIT MANAGEMENT BDC INC
NASDAQ
Asset Management
$28.26M$1.96-1.21%$8.02M-196.00x1.90
United States
TR
TOOTSIE ROLL INDUSTRIES INC
NYSE
Confectioners
$3.19B$42.400.02%$156.37M31.88x0.33
United States
PSIG
PS INTERNATIONAL GROUP LTD
NASDAQ
Integrated Freight & Logistics
$17.63M$5.43-1.27%-$5.02MN/A0.42
China
MAAS
MAASE INC
NASDAQ
Asset Management
$87.39M$5.49-0.54%-$9.32M-1.50x1.85
China
PEP
PEPSICO INC
NASDAQ
Beverages - Non-Alcoholic
$215.55B$157.72-1.35%$15.49B26.20x4.26
United States
FACT
FACT II ACQUISITION CORP
NASDAQ
Shell Companies
$254.96M$10.48-0.02%$5.02M49.92x-1.08
United States
AEP
AMERICAN ELECTRIC POWER CO INC
NASDAQ
Utilities - Regulated Electric
$72.56B$134.150.40%$9.12B20.02xN/A
United States
EXC
EXELON CORP
NASDAQ
Utilities - Regulated Electric
$51.44B$50.290.94%$9.06B18.35x3.05
United States
JBSS
SANFILIPPO JOHN B & SON INC
NASDAQ
Packaged Foods
$892.87M$76.400.17%$130.37M12.67x0.67
United States
SGU
STAR GROUP LP
NYSE
Oil & Gas Refining & Marketing
$410.99M$12.500.81%$159.52M6.98x2.28
United States
HCAI
HUACHEN AI PARKING MANAGEMENT TECHNOLOGY HOLDING CO LTD
NASDAQ
Farm & Heavy Construction Machinery
$6.28M$0.180.00%$1.35M18.00x0.92
China
AAME
ATLANTIC AMERICAN CORP
NASDAQ
Insurance - Life
$55.03M$2.70-2.60%$10.07M12.26x2.94
United States
PM
PHILIP MORRIS INTERNATIONAL INC
NYSE
Tobacco
$272.08B$174.780.07%$17.05B24.04x-7.73
United States
DGICA
DONEGAL GROUP INC
NASDAQ
Insurance - Property & Casualty
$628.31M$16.980.06%$102.02M7.65x2.73
United States
FCN
FTI CONSULTING INC
NYSE
Consulting Services
$4.95B$161.92-0.41%$441.65M19.44x1.01
United States
BENF
BENEFICIENT
NASDAQ
Asset Management
$52.88M$3.72-0.27%-$32.04M-0.05x-2.09
United States
FEDU
FOUR SEASONS EDUCATION (CAYMAN) INC
NYSE
Education & Training Services
$23.17M$10.256.33%N/A18.57x0.44
China
AFRI
FORAFRIC GLOBAL PLC
NASDAQ
Farm Products
$262.02M$9.741.99%-$2.49M-12.02x-55.98
United States
SBFG
SB FINANCIAL GROUP INC
NASDAQ
Banks - Regional
$128.00M$20.312.16%$19.69M9.27x9.94
United States
PC
PREMIUM CATERING (HOLDINGS) LTD
NASDAQ
Specialty Business Services
$175.34M$9.400.00%-$4.10M-49.47x0.18
Singapore
ODYS
ODYSIGHTAI INC
NASDAQ
Scientific & Technical Instruments
$98.30M$6.015.44%-$16.19M-5.46x0.13
United States
NVS
NOVARTIS AG
NYSE
Drug Manufacturers - General
$295.52B$154.870.93%$28.74B21.48x1.40
Switzerland
UTSI
UTSTARCOM HOLDINGS CORP
NASDAQ
Communication Equipment
$21.04M$2.30-5.04%-$4.07M-3.43x0.49
Hong Kong
ADC
AGREE REALTY CORP
NYSE
REIT - Retail
$9.58B$79.790.74%$580.00M45.08x0.56
United States
BTI
BRITISH AMERICAN TOBACCO PLC
NYSE
Tobacco
$133.28B$60.941.69%N/A12.85x1.33
United Kingdom
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