The U.S. stock market is expected to remain volatile due to uncertainty surrounding trade policies, economic concerns and shifts in investor sentiment. President Trump's tariffs on major trading ...
In this context, creating a curated portfolio of low-beta stocks is a prudent strategy. This provides a safeguard against heightened market fluctuations and equips investors to navigate volatility ...
As a guide, stocks with a beta greater than 1.0 are likely to have return movements that are more volatile than those of the overall market. Trivariate said its list features high-quality ...
It is imperative to build a portfolio of low-beta stocks to navigate a volatile market. PGR, BIDU, TGNA & JD are well-poised to gain.