USDC
Discover investment opportunities in USDC using our Smart AI Filter.
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Discover investment opportunities in USDC using our Smart AI Filter.
AI is processing your request...
Scanning thousands of stocks to find the best matches...
Discover investment opportunities in USDC using our Smart AI Filter.
AI is processing your request...
Scanning thousands of stocks to find the best matches...
Discover investment opportunities in USDC using our Smart AI Filter.
10 stocks found for "USDC"
Security name | Expected returns | Sharpe Ratio | Beta | Volatility | P/E Ratio | Dividend Yield |
---|---|---|---|---|---|---|
0.81 Risk measure | ±30.4% Price volatility | 21.7 Valuation | 1.00% Annual yield | |||
1.12 Risk measure | ±36.8% Price volatility | 15.7 Valuation | 0.00% Annual yield | |||
0.88 Risk measure | ±29.4% Price volatility | 12.3 Valuation | 2.52% Annual yield | |||
0.49 Risk measure | ±26.8% Price volatility | 17.7 Valuation | 1.89% Annual yield | |||
0.57 Risk measure | ±23.3% Price volatility | 34.8 Valuation | 0.53% Annual yield | |||
1.94 Risk measure | ±51.7% Price volatility | 19.2 Valuation | 0.00% Annual yield | |||
0.73 Risk measure | ±17.7% Price volatility | 28.3 Valuation | 0.67% Annual yield | |||
0.73 Risk measure | ±25.0% Price volatility | 13.4 Valuation | 2.13% Annual yield | |||
0.91 Risk measure | ±26.3% Price volatility | 14.3 Valuation | 1.96% Annual yield | |||
1.35 Risk measure | ±85.8% Price volatility | 99.7 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: What sectors are predominantly represented by stocks with tickers related to 'US'?
A: The stocks with 'US' tickers represent a diverse array of sectors, including finance (USD), technology (USPH), consumer goods (USFD), and energy (USAP). This reflects a blend of industry exposures, appealing to investors focused on sector diversification and risk management.
Q: How can an investor evaluate the growth potential of companies like USFD and USPH?
A: Analyzing growth potential involves reviewing historical revenue trends, market expansion strategies, and industry demand. USFD's exposure to consumer food distribution suggests sensitivity to economic cycles, while USPH operates in healthcare, typically demonstrating more stable growth patterns.
Q: Are there any stocks on this screener page known for dividend income potential?
A: Among the listed stocks, North American companies such as USLM might provide dividend opportunities, pending their payout ratios and financial health. Investors should evaluate dividend yield against industry averages for informed decisions.
Q: What economic conditions most impact stocks like USAP and USLM?
A: USAP and USLM operate within industries sensitive to commodity prices and construction demand respectively. These companies may experience performance fluctuations related to global supply chain conditions and regional infrastructure spending levels.
Q: How can US investors manage risk in portfolios with stocks like USB and USPH?
A: Investors should consider diversification across different sectors and geographies to manage risk exposure. Stocks like USB in financial services may hedge risks associated with interest rates, while USPH's healthcare focus might provide stability during economic downturns.
Q: Are there geographic opportunities associated with stocks such as USD and USDP?
A: International exposure can be considered for USD and USDP through currency exchange nuances and policy regulations. Investors interested in potential geographic diversification should assess macroeconomic impacts and monetary policies on these currencies.
Bank of America BAC and Citigroup C are leading U.S. banks, offering diversified financial services, including commercial banking, investment banking, wealth management and retail banking, and are prominent, systemically important institutions with a global footprint. BAC is more leveraged to U.S. interest rates and consumer health, while C is majorly influenced by global trade, international growth and currency/geopolitical trends.
Read moreThe Financial Transaction Services industry is gaining on the widespread adoption of digital means, strong consumer spending and pursuit of M&A activities. Companies like V, MA, FI, PYPL and WEX are well-positioned to thrive on the back of these favorable trends.
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