10 Low Volatility Stocks In A Rising Volatility Environment
0.64%April 17 | MyPlanIQ portfolio symbol P_34772

10 Low Volatility Stocks In A Rising Volatility Environment

We are seeing big swings in the market as has become usual in the era of computer triggered trading and the uncertainties that we now face.

We continue to look for portfolio ideas from industry luminaries and measure them against a portfolio of dividend producing ETFs with broad diversification.

Today, we look at the selection made by Scott Rothbort / Lake View Asset Management, LLC

He has found ten stocks with low volatility over the past year and we measure them against our benchmark.


Symbol / Co Last Price Change Analysis
PG
The Procter & Gam...
$62.79 -0.23
(-0.36%)
1 YR Realized Volatility 11.34
Dividend Yield 3.47
PE Ratio 15.4
PEP
PepsiCo Inc
$63.41 -0.07
(-0.11%)
1 YR Realized Volatility 12.98
Dividend Yield 3.19
PE Ratio 16.5
JNJ
Johnson & Johnson
$65.29 0.32
(0.49%)
1 YR Realized Volatility 12.61
Dividend Yield 3.64
PE Ratio 15.0
WMT
Wal-Mart Stores Inc
$53.10 -0.11
(-0.21%)
1 YR Realized Volatility 12.64
Dividend Yield 2.87
PE Ratio 11.1
SO
Southern Co
$41.14 0.52
(1.28%)
1 YR Realized Volatility 10.07
Dividend Yield 4.74
PE Ratio 17.49
CB
Chubb Corp
$60.08 0.05
(0.08%)
1 YR Realized Volatility 14.14
Dividend Yield 2.62
PE Ratio 8.59
MO
Altria Group Inc.
$26.44 0.00
(0.02%)
1 YR Realized Volatility 15.37
Dividend Yield 6.03
PE Ratio 15.4
T
AT&T Inc
$29.25 0.27
(0.93%)
1 YR Realized Volatility 16.13
Dividend Yield 6.09
PE Ratio 8.2
NLY
Annaly Capital Ma...
$17.88 -0.39
(-2.13%)
1 YR Realized Volatility 19.47
Dividend Yield 14.54
PE Ratio 6.3
MCK
McKesson Inc.
$75.54 -0.07
(-0.09%)
1 YR Realized Volatility 16.24
Dividend Yield 2.45
PE Ratio 15.9



These are top drawer companies and many of them have been mentioned before when looking for long term, dividend producing equities. It provides access to worldwide markets and to real estate. So, we know that this is a good list. On the other hand, there is no international or commodities exposure.


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Rolling Returns

From 12/29/2000 to 04/17/2024, the worst annualized return of 3-year rolling returns is -3.01%.

From 12/29/2000 to 04/17/2024, the worst annualized return of 5-year rolling returns is 2.55%.

From 12/29/2000 to 04/17/2024, the worst annualized return of 10-year rolling returns is 8.85%.

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