Motley Fool Top 80 Stocks
Discover investment opportunities in Motley Fool Top 80 Stocks using our Smart AI Filter.
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Discover investment opportunities in Motley Fool Top 80 Stocks using our Smart AI Filter.
AI is processing your request...
Scanning thousands of stocks to find the best matches...
Discover investment opportunities in Motley Fool Top 80 Stocks using our Smart AI Filter.
AI is processing your request...
Scanning thousands of stocks to find the best matches...
Discover investment opportunities in Motley Fool Top 80 Stocks using our Smart AI Filter.
9 stocks found for "Motley Fool Top 80 Stocks"
Security name | Expected returns | Sharpe Ratio | Beta | Volatility | P/E Ratio | Dividend Yield |
---|---|---|---|---|---|---|
1.05 Risk measure | ±38.8% Price volatility | 28.4 Valuation | 0.29% Annual yield | |||
1.68 Risk measure | ±72.6% Price volatility | 97.3 Valuation | 0.00% Annual yield | |||
0.54 Risk measure | ±32.2% Price volatility | 27.1 Valuation | 0.46% Annual yield | |||
0.45 Risk measure | ±34.4% Price volatility | 36.3 Valuation | 0.00% Annual yield | |||
1.02 Risk measure | ±54.4% Price volatility | 38.7 Valuation | 0.03% Annual yield | |||
0.83 Risk measure | ±32.5% Price volatility | 20.0 Valuation | 0.47% Annual yield | |||
0.37 Risk measure | ±19.7% Price volatility | 14.7 Valuation | 3.18% Annual yield | |||
0.51 Risk measure | ±26.4% Price volatility | 38.2 Valuation | 0.81% Annual yield | |||
0.73 Risk measure | ±17.7% Price volatility | 28.3 Valuation | 0.67% 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: Why might some investors be interested in technology stocks like AAPL, MSFT, and NVDA?
A: Technology stocks such as AAPL, MSFT, and NVDA are often favored for their potential growth driven by innovation, high demand for digital solutions, and strong financial health. Additionally, these companies have significant market influence and consistently invest in future technologies.
Q: How does AMZN's diversification into different sectors impact its stock appeal?
A: AMZN's diversification—spanning e-commerce, cloud computing, and streaming—provides multiple revenue streams, reducing reliance on any single sector. This broad footprint may offer resilience against economic cycles and enhances long-term growth potential.
Q: What role does GOOGL play in digital advertising, and why is this significant to investors?
A: GOOGL dominates digital advertising through its search engine and YouTube platform, providing substantial revenue. This dominance positions it as a key player in the digital economy, which could translate into sustained financial performance.
Q: How does TSLA's focus on sustainable energy impact its investment prospects?
A: TSLA's commitment to sustainable energy, with its electric vehicles and renewable energy products, aligns with growing environmental concerns and regulatory support, potentially offering long-term growth opportunities as markets shift to green solutions.
Q: Why might META's involvement in metaverse development be significant for investors?
A: META's investment in the metaverse represents a strategic move to diversify beyond social media. This initiative opens opportunities in emerging digital ecosystems, which could drive future growth if consumer and enterprise adoption increases.
Q: What competitive advantages does BRK.B hold as a diversified conglomerate?
A: BRK.B's diversified portfolio includes insurance, railroads, utilities, and diverse investments. This diversity provides risk mitigation against sector-specific downturns and allows capital allocation flexibility based on market conditions.
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