Best Car Stocks
Discover investment opportunities in Best Car Stocks using our Smart AI Filter.
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Discover investment opportunities in Best Car Stocks using our Smart AI Filter.
AI is processing your request...
Scanning thousands of stocks to find the best matches...
Discover investment opportunities in Best Car Stocks using our Smart AI Filter.
AI is processing your request...
Scanning thousands of stocks to find the best matches...
Discover investment opportunities in Best Car Stocks using our Smart AI Filter.
9 stocks found for "Best Car Stocks"
Security name | Expected returns | Sharpe Ratio | Beta | Volatility | P/E Ratio | Dividend Yield |
---|---|---|---|---|---|---|
0.61 Risk measure | ±38.9% Price volatility | 6.7 Valuation | 5.08% Annual yield | |||
0.74 Risk measure | ±35.1% Price volatility | 6.3 Valuation | 1.20% Annual yield | |||
0.71 Risk measure | ±28.6% Price volatility | 10.8 Valuation | 2.10% Annual yield | |||
1.40 Risk measure | ±37.9% Price volatility | 3.5 Valuation | 67.66% Annual yield | |||
1.18 Risk measure | ±78.2% Price volatility | -2.5 Valuation | 0.00% Annual yield | |||
0.91 Risk measure | ±66.1% Price volatility | 16.8 Valuation | 0.00% Annual yield | |||
0.88 Risk measure | ±63.7% Price volatility | -4.8 Valuation | 0.00% Annual yield | |||
0.80 Risk measure | ±30.8% Price volatility | 6.1 Valuation | 5.85% Annual yield | |||
1.68 Risk measure | ±72.6% Price volatility | 97.3 Valuation | 0.00% Annual yield |
This search uses our Smart AI Filter to identify stocks matching your criteria. Results are ranked by relevance and include key financial metrics to help you make informed investment decisions.
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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.
Q: How has Tesla (TSLA) performed compared to traditional automakers like General Motors (GM) and Ford (F)?
A: Tesla (TSLA) has historically shown more growth volatility than traditional automakers like General Motors (GM) and Ford (F). While TSLA has rapidly increased its market valuation due to its focus on electric vehicles, GM and F have more stable income due to their large market share in traditional vehicles.
Q: What potential growth opportunities do Rivian (RIVN) and Lucid Motors (LCID) offer to investors?
A: Rivian (RIVN) and Lucid Motors (LCID) are considered high-growth opportunities due to their focus on the electric vehicle market. Both companies aim to capture market share in the luxury and off-road electric vehicle segments, but their growth is contingent on production scaling and competitive positioning.
Q: Are Honda (HMC) and Toyota (TM) good options for investors seeking stability?
A: Honda (HMC) and Toyota (TM) are often viewed as stable investments due to their established global presence, consistent profitability, and diversified product lines spanning automobiles, motorcycles, and other motor products. Their resilience in economic downturns is anchored by strong balance sheets.
Q: What sets Ferrari (RACE) apart in the automotive sector for investors?
A: Ferrari (RACE) stands out in the automotive sector due to its luxury brand appeal and high-profit margins per vehicle. The company's limited production and high demand support premium pricing and mitigate some cyclicality experienced by mass-market automakers.
Q: How does Stellantis (STLA) compare with other major car manufacturers regarding global market reach?
A: Stellantis (STLA) has a significant global market reach due to its diverse brand portfolio, including Peugeot, Citroën, and Jeep. This gives STLA enhanced capabilities to leverage both North American and European markets effectively compared to companies with a regional focus.
Q: What risks do startups like Fisker (FISK) and Rivian (RIVN) face compared to established brands?
A: Startups like Fisker (FISK) and Rivian (RIVN) face risks such as production delays, high R&D costs, and fierce competition from established automakers. Their success hinges on achieving sale targets and scaling operations while maintaining financial stability.
Investors often turn to recommendations made by Wall Street analysts before making a Buy, Sell, or Hold decision about a stock. While media reports about rating changes by these brokerage-firm employed (or sell-side) analysts often affect a stock's price, do they really matter?
Read moreThe automotive industry is experiencing unprecedented disruption and uncertainty regarding regulations, electric vehicle adoption, software innovations and competition from China. Many of the issues are coming to a head sooner rather than later, causing chaos for automakers and their plans for new vehicles, according to Bank of America.
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