Stocks Under 20
Discover investment opportunities in Stocks Under 20 using our Smart AI Filter.
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Scanning thousands of stocks to find the best matches...
Discover investment opportunities in Stocks Under 20 using our Smart AI Filter.
AI is processing your request...
Scanning thousands of stocks to find the best matches...
Discover investment opportunities in Stocks Under 20 using our Smart AI Filter.
AI is processing your request...
Scanning thousands of stocks to find the best matches...
Discover investment opportunities in Stocks Under 20 using our Smart AI Filter.
9 stocks found for "Stocks Under 20"
Security name | Expected returns | Sharpe Ratio | Beta | Volatility | P/E Ratio | Dividend Yield |
---|---|---|---|---|---|---|
1.06 Risk measure | ±43.4% Price volatility | 5.8 Valuation | 3.42% Annual yield | |||
0.85 Risk measure | ±49.2% Price volatility | 21.9 Valuation | 0.00% Annual yield | |||
0.36 Risk measure | ±43.7% Price volatility | 19.0 Valuation | 0.00% Annual yield | |||
1.03 Risk measure | ±49.2% Price volatility | 6.1 Valuation | 2.00% Annual yield | |||
0.61 Risk measure | ±38.9% Price volatility | 6.7 Valuation | 5.08% Annual yield | |||
0.88 Risk measure | ±28.3% Price volatility | 5.0 Valuation | 7.58% Annual yield | |||
1.38 Risk measure | ±48.3% Price volatility | 17.4 Valuation | 6.68% Annual yield | |||
1.21 Risk measure | ±56.5% Price volatility | -86.3 Valuation | 0.00% Annual yield | |||
0.31 Risk measure | ±23.4% Price volatility | 12.7 Valuation | 3.92% 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.
Ford shares are attractive to some investors due to the company's robust market position in the automotive industry and strong focus on electric vehicle development. This price point may present value opportunities, but always consider the company's financial health and industry competition.
General Electric's stock tends to exhibit higher volatility due to its diverse portfolio and ongoing restructuring efforts. Prospective investors may find growth potential, but the stock's performance is closely tied to industrial and energy market shifts.
Marathon Oil's growth is heavily dependent on oil prices and economic conditions affecting the energy sector. Rising oil demand could benefit MRO, but potential market instability and regulatory changes present risks.
SVB Financial Group, known for its focus on technology and life sciences banking, can add diversification. However, its performance is closely linked to the tech sector, exposing investors to sector-specific volatility.
American Airlines shares may appeal to value investors due to low price levels, but airline industry volatility and operational challenges, especially post-pandemic, should be weighed carefully.
Pfizer is known for consistent dividend payouts, appealing to income-focused investors. While dividends are generally stable, changes in regulatory environments or drug approvals could impact future distributions.
Get a deeper insight into the potential performance of American Airlines (AAL) for the quarter ended June 2025 by going beyond Wall Street's top-and-bottom-line estimates and examining the estimates for some of its key metrics.
Read moreHudson Tech (HDSN) saw its shares surge in the last session with trading volume being higher than average. The latest trend in earnings estimate revisions may not translate into further price increase in the near term.
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