6 Stocks and 94 ETFs for diversifying BCV (Bancroft Fund)
The least correlated asset to BCV (Bancroft Fund) is ETF RWM (PROSHARES SHORT RUSSELL2000). The correlation is -0.8553.
Stocks that lowly correlated with BCV
| Symbol | Name | Market cap | Sector | Industry | Correlation |
|---|---|---|---|---|---|
| ASIC | Ategrity Specialty Holdings LLC | $969M | Financial Services | Insurance - Property & Casualty | -0.69 |
| RIBBU | Ribbon Acquisition Corp - Units (1 Ord Cls A & 1 Rts) | $56M | Financial Services | Shell Companies | -0.51 |
| IROHU | CN Healthy Food Tech Group Corp - Units (1 Ord 1 War & 1 Rts) | $453M | N/A | N/A | -0.50 |
| TMDE | TMD Energy Ltd | $18M | Energy | Oil & Gas Midstream | -0.47 |
| WTGUU | Wintergreen Acquisition Corp - Units (1 Ord Shs & 1 Rts) | $20M | Financial Services | Shell Companies | -0.46 |
| GSRM | Bitcoin Depot Inc - Class A | $54M | N/A | N/A | -0.43 |