Beef Stocks
Discover investment opportunities in Beef Stocks using our Smart AI Filter.
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Discover investment opportunities in Beef Stocks using our Smart AI Filter.
AI is processing your request...
Scanning thousands of stocks to find the best matches...
Discover investment opportunities in Beef Stocks using our Smart AI Filter.
AI is processing your request...
Scanning thousands of stocks to find the best matches...
Discover investment opportunities in Beef Stocks using our Smart AI Filter.
9 stocks found for "Beef Stocks"
Security name | Expected returns | Sharpe Ratio | Beta | Volatility | P/E Ratio | Dividend Yield |
---|---|---|---|---|---|---|
0.35 Risk measure | ±21.6% Price volatility | 16.4 Valuation | 3.56% Annual yield | |||
0.41 Risk measure | ±22.0% Price volatility | 24.1 Valuation | 2.40% Annual yield | |||
0.24 Risk measure | ±22.8% Price volatility | 15.2 Valuation | 1.83% Annual yield | |||
0.78 Risk measure | ±49.3% Price volatility | 6.6 Valuation | 16.85% Annual yield | |||
0.85 Risk measure | ±33.0% Price volatility | 14.9 Valuation | 3.20% Annual yield | |||
0.31 Risk measure | ±21.0% Price volatility | 36.2 Valuation | 0.95% Annual yield | |||
0.76 Risk measure | ±22.0% Price volatility | 20.9 Valuation | 0.00% Annual yield | |||
0.32 Risk measure | ±23.8% Price volatility | 18.0 Valuation | 3.81% Annual yield | |||
0.34 Risk measure | ±24.5% Price volatility | 7.8 Valuation | 6.67% Annual yield |
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Compliance disclosure:
The securities listed on this website have not paid to be included in the results. The inclusion of any securities in the results shown does not imply any relationship with PortfolioPilot. The order of the results is ranked based on the Sharpe Ratio, which is a measure of risk-adjusted return. Please note that these listings are not recommendations or financial advice. Past performance is not indicative of future results.
Here at Zacks, our focus is on the proven Zacks Rank system, which emphasizes earnings estimates and estimate revisions to find great stocks. Nevertheless, we are always paying attention to the latest value, growth, and momentum trends to underscore strong picks.
Read moreQ: What are the primary factors driving the attractiveness of TSN and HRL stocks for growth-focused investors?
A: TSN (Tyson Foods) and HRL (Hormel Foods) are key players in the North American meat industry. Growth aspects include diversification into plant-based proteins and expanding international presence. Investors may consider their innovation and acquisitions strategies critical for capturing new market segments.
Q: How might global economic conditions affect BRFS and JBSAY stocks?
A: BRFS (BRF S.A.) and JBSAY (JBS S.A.) are Brazilian companies sensitive to global meat consumption trends. Economic fluctuations can impact their production costs, export demand, and currency exchange rates. Global trade policies may further influence their financial stability and growth trajectory.
Q: Are high dividend yields common among companies like BEEF and TSN?
A: While companies such as TSN may offer dividends, the frequency and yield can vary. BEEF, a smaller entity, may not provide high or consistent dividends compared to larger, established firms like TSN. Evaluating financial statements will offer insights into their dividend strategies.
Q: What sector-specific risks should investors consider with stocks like JBSAY and BRFS?
A: JBSAY and BRFS face risks from livestock disease outbreaks, fluctuating feed prices, and regulatory challenges in international markets. Investors should consider each company's risk management strategies and geographical diversification when assessing these stocks.
Q: What structural advantages do TSN and JBSAY have in the market?
A: TSN benefits from a vertically integrated supply chain, offering control over production costs. JBSAY, as one of the world's largest meat processors, leverages economies of scale and a diversified product portfolio. Both companies use these advantages to maintain market dominance.
Q: How does ESG performance influence HRL stock evaluation?
A: HRL focuses on sustainable sourcing and reducing environmental impact, which are key ESG metrics investors increasingly consider. Such practices can enhance brand reputation and appeal to ethically-focused funds, although translating ESG efforts into tangible long-term performance varies.