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
Zen Rating
Growth
Market Cap
Revenue
EBITDA
Earnings
EPS
Rev. Y/Y
Rev. 5Y
Earn. Y/Y
Earn. 5Y
Earnings Date
FKWL
FRANKLIN WIRELESS CORP
$41.95M$39.61M$868.39k$187.07k$0.02-8.82%-26.27%N/A-58.78%
JMG
JM GROUP LTD
$134.27M$34.49M$3.07M$2.39M$0.1522.08%N/A167.86%N/A
ADAG
ADAGENE INC
$188.05M$103.20k-$28.44M-$29.89M-$0.64-87.35%N/AN/AN/A2026-04-01
NCEW
NEW CENTURY LOGISTICS (BVI) LTD
$28.16M$44.08M-$9.99M-$10.73M-$3.71-15.51%N/AN/AN/A
LOT
LOTUS TECHNOLOGY INC
$712.48M$627.28MN/A-$818.26M-$1.24-38.13%N/AN/AN/A2026-03-26
TAK
TAKEDA PHARMACEUTICAL CO LTD
$57.56B$29.14B$8.59B$737.40M$0.24-2.06%-1.49%-45.13%-16.20%2026-05-13
UNB
UNION BANKSHARES INC
$107.46M$52.53M$13.85M$11.33M$2.5013.25%3.97%28.21%-0.93%2026-04-22
AVA
AVISTA CORP
$3.28B$1.96B$660.00M$193.00M$2.381.34%8.24%3.93%4.50%
MRM
MEDIROM HEALTHCARE TECHNOLOGIES INC
$10.15M$53.11M$2.29M$266.45k$0.4022.92%N/AN/AN/A
SDST
STARDUST POWER INC
$27.98M$0.00-$21.32M-$21.54M-$3.93N/AN/AN/AN/A
HDL
SUPER HI INTERNATIONAL HOLDING LTD
$1.02B$819.54MN/A$20.62M$0.508.02%N/A-44.44%N/A2026-03-31
MWG
MULTI WAYS HOLDINGS LTD
$6.33M$43.41M$671.00k-$2.03M-$0.6621.48%N/AN/AN/A
SAFT
SAFETY INSURANCE GROUP INC
$1.08B$1.26B$133.42M$99.26M$6.7212.83%8.35%40.29%-6.19%2026-05-06
BEEP
MOBILE INFRASTRUCTURE CORP
$100.12M$35.08M$8.18M-$22.40M-$0.55-5.22%N/AN/AN/A
PRE
PRENETICS GLOBAL LTD
$348.43M$92.39M-$54.50M-$58.32M-$4.15479.76%7.23%N/AN/A
KMRK
K-TECH SOLUTIONS CO LTD
$40.21M$18.61M$891.23k$487.96k$0.038.69%N/A-45.83%N/A
SNY
SANOFI
$107.26B$55.61B$17.97B$9.30B$3.8119.14%3.82%62.78%-8.84%2026-04-23
XEL
XCEL ENERGY INC
$50.93B$14.67B$6.21B$2.02B$3.449.14%4.94%0.00%4.28%2026-04-23
FNWB
FIRST NORTHWEST BANCORP
$84.30M$61.62M-$4.17M-$4.19M-$0.4817.52%2.39%N/AN/A2026-04-29
LFS
LEIFRAS CO LTD
$58.08MN/AN/AN/AN/AN/AN/AN/AN/A
AWR
AMERICAN STATES WATER CO
$2.94B$658.07M$265.45M$130.44M$3.3710.52%6.15%6.31%7.57%2026-05-13
AWX
AVALON HOLDINGS CORP
$9.98M$79.71M$6.10M$180.00k$0.05-4.96%5.36%-79.17%N/A
ALVO
ALVOTECH
$1.12B$573.35M$261.73M$69.50M$0.2345.55%N/AN/AN/A2026-03-18
T
AT&T INC
$194.13B$125.65B$53.26B$21.89B$3.042.71%-2.56%104.03%N/A2026-04-22
SAFX
XCF GLOBAL INC
$55.89M$16.13M-$118.43M-$127.10M$1.36N/AN/A6,700.00%N/A
ABBV
ABBVIE INC
$391.56B$61.16B$17.36B$4.23B$2.378.57%5.95%-1.25%-2.79%2026-04-23
LGL
LGL GROUP INC
$40.35M$4.11M$302.00k$917.00k$0.18-0.56%-33.92%200.00%-15.18%2026-04-06
CMND
CLEARMIND MEDICINE INC
$1.11M$0.00-$6.55M-$6.64M-$24.47N/AN/AN/AN/A
JUNS
JUPITER NEUROSCIENCES INC
$14.56M$0.00-$7.56M-$7.60M-$0.24N/AN/AN/AN/A
MASK
3 E NETWORK TECHNOLOGY GROUP LTD
$1.52M$4.84M$1.20M$764.92k$1.75462.66%N/A-53.33%N/A
NWN
NORTHWEST NATURAL HOLDING CO
$2.19B$1.29B$500.46M$113.32M$2.7711.83%10.75%36.45%1.99%
HYNE
HOYNE BANCORP INC
N/AN/AN/AN/AN/AN/AN/AN/AN/A
BAER
BRIDGER AEROSPACE GROUP HOLDINGS INC
$110.17M$122.83M$42.66M-$22.94M-$0.4224.56%55.72%N/AN/A
GSK
GSK PLC
$109.57B$44.14B$10.17B$7.72B$3.8112.56%5.76%141.39%-0.73%2026-04-29
MKC
MCCORMICK & CO INC
$15.49B$6.84B$1.34B$717.20M$2.941.73%4.08%0.00%0.98%2026-03-31
VSEE
VSEE HEALTH INC
$8.46M$14.55M-$7.25M-$12.48M$0.1779.32%N/AN/AN/A
NAMI
JINXIN TECHNOLOGY HOLDING CO
$33.56MN/AN/AN/AN/AN/AN/AN/AN/A
D
DOMINION ENERGY INC
$55.73B$16.51B$8.24B$3.00B$3.4614.16%3.10%48.50%N/A2026-04-30
KDP
KEURIG DR PEPPER INC
$37.43B$16.60B$4.03B$2.08B$1.538.16%7.40%44.34%10.23%2026-04-23
AEE
AMEREN CORP
$31.20B$8.80B$3.98B$1.46B$5.3815.43%8.72%21.44%8.79%
WTM
WHITE MOUNTAINS INSURANCE GROUP LTD
$5.43B$3.74B$1.32B$1.11B$430.1466.76%33.06%379.05%13.64%
MDV
MODIV INDUSTRIAL INC
$150.22M$47.04M$32.79M-$1.93M-$0.27-0.80%5.19%N/AN/A
NGG
NATIONAL GRID PLC
$93.30B$29.27B$17.23B$10.54B$13.3210.53%9.67%222.07%41.88%2026-05-14
PNW
PINNACLE WEST CAPITAL CORP
$12.46B$5.34B$2.11B$616.53M$5.154.20%8.28%-3.74%1.04%2026-04-30
CVR
CHICAGO RIVET & MACHINE CO
$14.01M$26.01M-$2.28M-$3.54M-$3.66-12.32%-0.38%N/AN/A
FE
FIRSTENERGY CORP
$29.91B$15.09B$5.48B$1.02B$1.7712.01%6.94%4.12%-2.32%
ESP
ESPEY MFG & ELECTRONICS CORP
$164.19M$41.13M$11.99M$9.61M$3.59-6.35%4.79%41.34%58.40%
ACCS
ACCESS NEWSWIRE INC
$26.77M$18.28M-$6.50M-$5.33M-$1.3914.84%0.59%N/AN/A2026-03-24
UTL
UNITIL CORP
$951.71M$536.00M$190.90M$50.20M$2.978.33%5.07%1.37%6.68%2026-05-05
CNF
CNFINANCE HOLDINGS LTD
$32.92M$32.65MN/A-$7.04M-$1.11-56.91%-21.42%N/AN/A2026-04-29
FDP
FRESH DEL MONTE PRODUCE INC
$1.95B$4.32B$211.80M$90.70M$1.900.98%0.56%-36.03%13.03%2026-05-06
CDTG
CDT ENVIRONMENTAL TECHNOLOGY INVESTMENT HOLDINGS LTD
N/A$24.40MN/A-$1.28M-$0.11-22.38%11.45%N/AN/A
MWYN
MARWYNN HOLDINGS INC
$15.19M$8.00M-$6.94M-$7.57M-$0.47-12.23%N/AN/AN/A
MDLZ
MONDELEZ INTERNATIONAL INC
$73.27B$38.54B$4.87B$2.45B$1.895.75%7.71%-45.06%-5.29%2026-04-28
AMOD
ALPHA MODUS HOLDINGS INC
$19.51M$0.00$2.58M-$593.52k$0.78N/AN/AN/AN/A
LNT
ALLIANT ENERGY CORP
$18.78B$4.36B$2.02B$810.00M$3.159.57%5.01%17.10%4.98%2026-04-30
SGP
SPYGLASS PHARMA INC
N/AN/AN/AN/AN/AN/AN/AN/AN/A
ECBK
ECB BANCORP INC
$150.25M$29.86M$9.13M$6.62M$0.8120.82%N/A97.56%N/A
HSCS
HEARTSCIENCES INC
$8.47M$8.67k-$7.65M-$8.49M-$4.94N/AN/AN/AN/A
IDA
IDACORP INC
$7.83B$1.81B$772.56M$323.47M$5.96-0.75%6.06%8.36%4.86%2026-04-30
ARMP
ARMATA PHARMACEUTICALS INC
$352.04M$1.24M-$30.37M-$46.90M-$1.29-19.18%31.09%N/AN/A2026-03-19
SIF
SIFCO INDUSTRIES INC
$88.50M$87.91M$10.46M$3.38M$0.553.37%-4.80%N/A-25.40%
BNZI
BANZAI INTERNATIONAL INC
$6.95M$10.79M-$22.71M-$24.76M$5.78150.20%N/A-79.92%N/A
EVRG
EVERGY INC
$19.17B$5.96B$2.66B$855.60M$3.711.95%3.94%-2.11%6.40%2026-05-01
SSII
SS INNOVATIONS INTERNATIONAL INC
$925.14M$42.48M-$5.15M-$12.13M-$0.06105.74%N/AN/AN/A2026-05-14
DTE
DTE ENERGY CO
$31.02B$15.81B$4.45B$1.46B$7.0426.95%6.72%3.83%-0.14%
APWC
ASIA PACIFIC WIRE & CABLE CORP LTD
$30.72M$472.67M$14.69M$3.49M$0.1711.02%6.93%-10.53%N/A
JJSF
J&J SNACK FOODS CORP
$1.57B$1.56B$156.27M$61.34M$3.16-1.55%9.80%-27.19%81.60%2026-05-04
EDTK
SKILLFUL CRAFTSMAN EDUCATION TECHNOLOGY LTD
$16.09M$774.67k-$5.79M-$5.65M-$0.35N/A-52.03%N/AN/A
AWK
AMERICAN WATER WORKS COMPANY INC
$27.16B$5.14B$3.28B$1.11B$5.699.74%6.36%5.57%7.79%2026-05-06
SOBR
SOBR SAFE INC
$1.29M$364.16k-$7.74M-$8.38M$177.5998.07%N/AN/AN/A
EDHL
EVERBRIGHT DIGITAL HOLDING LTD
$6.08M$2.04M-$635.50k-$741.46k-$0.80-50.09%N/AN/AN/A
EDUC
EDUCATIONAL DEVELOPMENT CORP
$11.52M$25.37M$9.34M$4.09M$0.47-30.53%-32.75%N/A-18.54%
VLGEA
VILLAGE SUPER MARKET INC
$631.24M$2.39B$121.93M$56.56M$4.254.60%3.89%4.94%14.28%
MATH
METALPHA TECHNOLOGY HOLDING LTD
$50.96M$36.87M$6.74M$6.85M$0.1817.42%N/A5.88%N/A
WMK
WEIS MARKETS INC
$1.65B$4.96B$248.74M$93.69M$3.653.46%3.81%-7.36%-3.76%
OGS
ONE GAS INC
$5.45B$2.43B$876.82M$264.22M$4.3916.50%9.67%11.99%3.48%
NNNN
ANBIO BIOTECHNOLOGY
$3.14B$6.92MN/A$2.57M$0.06-27.17%N/AN/AN/A
UVV
UNIVERSAL CORP
$1.32B$2.91B$262.72M$85.25M$3.40-3.46%7.82%-32.81%5.67%
NWE
NORTHWESTERN ENERGY GROUP INC
$4.17B$1.61B$587.44M$181.09M$2.956.38%6.09%-19.40%-0.79%2026-04-23
FLYX
FLYEXCLUSIVE INC
$232.11M$375.88M$27.43M-$27.56M-$1.0114.85%N/AN/AN/A
DG
DOLLAR GENERAL CORP
$29.68B$42.12B$2.92B$1.28B$5.804.86%5.33%-4.45%-10.61%
LTC
LTC PROPERTIES INC
$1.89B$262.85M$191.33M$117.28M$2.5425.26%10.53%22.71%0.97%2026-04-23
WM
WASTE MANAGEMENT INC
$95.57B$25.20B$7.20B$2.71B$6.7214.24%10.62%-1.75%13.68%2026-04-28
IXHL
INCANNEX HEALTHCARE INC
$40.01M$0.00-$48.19M-$48.50M-$22.50-100.00%N/AN/AN/A
ATO
ATMOS ENERGY CORP
$31.07B$4.87B$2.45B$1.25B$7.7716.42%11.23%11.00%8.66%2026-05-06
CWT
CALIFORNIA WATER SERVICE GROUP
$2.69B$1.00B$352.65M$128.21M$2.15-3.54%4.72%-34.05%1.76%2026-04-23
FXNC
FIRST NATIONAL CORP
$238.88M$84.41M$17.64M$11.27M$1.1072.77%19.91%-2.65%-8.34%2026-04-23
LOCL
LOCAL BOUNTI CORPORATION
$23.16M$45.98M-$51.96M-$122.34M-$11.3631.61%N/AN/AN/A
DGX
QUEST DIAGNOSTICS INC
$21.86B$11.04B$2.14B$992.00M$8.8711.78%3.18%14.01%-3.54%2026-04-28
CPIX
CUMBERLAND PHARMACEUTICALS INC
$45.77M$44.52M$2.99M-$2.84M-$0.1917.57%3.52%N/AN/A2026-05-12
OPHC
OPTIMUMBANK HOLDINGS INC
$66.37M$47.33M$23.06M$16.65M$1.4227.59%61.83%2.16%N/A2026-05-11
MSEX
MIDDLESEX WATER CO
$963.33M$194.69M$94.43M$42.75M$2.361.47%6.58%-4.84%1.51%2026-05-06
SR
SPIRE INC
$5.44B$2.57B$872.20M$270.30M$4.612.55%7.36%12.99%19.78%
WHF
WHITEHORSE FINANCE INC
$157.19M$72.67M$14.34M$14.34M$0.62-21.70%3.33%31.91%-16.74%
KFS
KINGSWAY FINANCIAL SERVICES INC
$309.44M$135.00M$191.00k-$11.92M-$0.4323.42%17.23%N/AN/A
POR
PORTLAND GENERAL ELECTRIC CO
$6.20B$3.58B$1.17B$306.00M$2.773.95%10.76%-8.28%9.87%2026-04-24
STRW
STRAWBERRY FIELDS REIT INC
$168.20M$145.39M$98.70M$7.02M$0.6229.76%N/A21.57%N/A
BZAI
BLAIZE HOLDINGS INC
$116.54M$14.86M-$210.98M-$210.30M-$2.52655.31%N/AN/AN/A
AKO.B
ANDINA BOTTLING CO INC
$4.30B$3.49B$472.42M$251.83M$1.678.89%5.99%20.00%-0.23%
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