62 Stocks and 38 ETFs for diversifying CBTJ (Calamos Bitcoin 80 Series Structured Alt Protection ETF January)
The least correlated asset to CBTJ (Calamos Bitcoin 80 Series Structured Alt Protection ETF January) is ETF FIYY (GRANITESHARES YIELDBOOST 20Y+ TREASURIES ETF). The correlation is -1.
Stocks that lowly correlated with CBTJ
| Symbol | Name | Market cap | Sector | Industry | Correlation |
|---|---|---|---|---|---|
| SMTK | SmartKem, Inc. Common Stock | $8.67M | Technology | Semiconductor Equipment & Materials | -1.00 |
| IPXXU | USA Rare Earth Inc - Units (1 Ord Class A & 1/2 Warr) | $66M | N/A | N/A | -1.00 |
| GSRM | Bitcoin Depot Inc - Class A | $54M | N/A | N/A | -1.00 |
| SLGC | SomaLogic Inc - Class A | $393M | Healthcare | Health Information Services | -1.00 |
| PINE | Alpine Income Property Trust Inc | $332M | Real Estate | Reit - Retail | -0.83 |
| FRLA | Fortune Rise Acquisition Corp - Class A | $35M | Financial Services | Shell Companies | -0.79 |
| FRLAU | Fortune Rise Acquisition Corp - Units (1 Ord Share Class A & 1/2 War) | $36M | Financial Services | Shell Companies | -0.79 |
| FRBN | Forbion European Acquisition Corp - Class A | $343M | Financial Services | Shell Companies | -0.79 |
| STBX | Starbox Group Holdings Ltd | $1.14M | Communication Services | Internet Content & Information | -0.79 |
| GRCL | Gracell Biotechnologies Inc | $990M | Healthcare | Biotechnology | -0.79 |
| DBGIW | Digital Brands Group Inc - Warrants (01/05/2026) | $40M | N/A | N/A | -0.79 |
| RCM | R1 RCM Inc | $6.04B | Healthcare | Health Information Services | -0.79 |
| MCACR | ConnectM Technology Solutions Inc | $2.93M | N/A | N/A | -0.79 |
| SOL | Emeren Group Ltd American Depositary Shares, each representing 10 shares | $100M | Technology | Solar | -0.79 |
| HRYU | Global Interactive Technologies Inc | $760K | Communication Services | Internet Content & Information | -0.79 |
| BSM | Black Stone Minerals L.P. | $2.93B | Energy | Oil & Gas E&p | -0.73 |
| CTRA | Coterra Energy Inc. | $25B | Energy | Oil & Gas E&p | -0.72 |
| RLI | RLI Corp | $4.96B | Financial Services | Insurance - Property & Casualty | -0.67 |
| MRSN | Mersana Therapeutics Inc | $145M | Healthcare | Biotechnology | -0.67 |
| CB | Chubb Ltd | $128B | Financial Services | Insurance - Property & Casualty | -0.67 |
| ATNI | ATN International Inc | $416M | Communication Services | Telecom Services | -0.63 |
| CAG | Conagra Brands Inc | $6.39B | Consumer Defensive | Packaged Foods | -0.63 |
| BMY | Bristol-Myers Squibb Company | $113B | Healthcare | Drug Manufacturers - General | -0.63 |
| AMRZ | Amrize Ltd | $28B | Basic Materials | Building Materials | -0.63 |
| PKST | Peakstone Realty Trust | $781M | Real Estate | Reit - Office | -0.62 |
| FUSB | First US Bancshares Inc | $91M | Financial Services | Banks - Regional | -0.60 |
| BOTJ | Bank of James Financial Group Inc | $112M | Financial Services | Banks - Regional | -0.58 |
| TRGP | Targa Resources Corp | $59B | Energy | Oil & Gas Midstream | -0.58 |
| ELS | Equity Lifestyle Properties Inc | $12B | Real Estate | Reit - Residential | -0.58 |
| COKE | Coca-Cola Consolidated Inc | $14B | Consumer Defensive | Beverages - Non-alcoholic | -0.58 |
| IROHU | CN Healthy Food Tech Group Corp - Units (1 Ord 1 War & 1 Rts) | $453M | N/A | N/A | -0.58 |
| AMGN | AMGEN Inc | $182B | Healthcare | Drug Manufacturers - General | -0.57 |
| SND | Smart Sand Inc | $209M | Energy | Oil & Gas Equipment & Services | -0.57 |
| GRFX | Graphex Group Ltd American Depositary Shares each American Depositary Share representing 20 | $20M | Basic Materials | Other Industrial Metals & Mining | -0.57 |
| CHD | Church & Dwight Co. Inc | $23B | Consumer Defensive | Household & Personal Products | -0.57 |
| POR | Portland General Electric Company | $5.87B | Utilities | Utilities - Regulated Electric | -0.57 |
| FDX | Fedex Corp | $75B | Industrials | Integrated Freight & Logistics | -0.57 |
| NC | Nacco Industries Inc - Class A | $396M | Energy | Thermal Coal | -0.56 |
| BKHAU | Black Hawk Acquisition Corp - Units (1 Ord Share Cls A & 1/5 Rts ) | $39M | Financial Services | Shell Companies | -0.56 |
| ANDE | Andersons Inc | $2.52B | Consumer Defensive | Food Distribution | -0.56 |
| WDFC | WD-40 Company | $3B | Basic Materials | Specialty Chemicals | -0.56 |
| HTFB | Horizon Technology Finance Corp | $1.14B | N/A | N/A | -0.55 |
| CIIT | Tianci International Inc | $5.83M | Industrials | Integrated Freight & Logistics | -0.55 |
| BDX | Becton Dickinson & Company | $41B | Healthcare | Medical Instruments & Supplies | -0.55 |
| MRK | Merck & Co Inc | $294B | Healthcare | Drug Manufacturers - General | -0.55 |
| PECO | Phillips Edison & Company Inc - New | $5.23B | Real Estate | Reit - Retail | -0.54 |
| PSIG | PS International Group Ltd | $21M | Industrials | Integrated Freight & Logistics | -0.54 |
| JBSS | Sanfilippo (John B.) & Son Inc | $913M | Consumer Defensive | Packaged Foods | -0.53 |
| SD | Sandridge Energy Inc New | $564M | Energy | Oil & Gas E&p | -0.53 |
| MOLN | Molecular Partners AG | $140M | Healthcare | Biotechnology | -0.53 |
| FNWD | Finward Bancorp | $148M | Financial Services | Banks - Regional | -0.52 |
| ASIC | Ategrity Specialty Holdings LLC | $1.01B | Financial Services | Insurance - Property & Casualty | -0.52 |
| ICUI | ICU Medical Inc | $3.49B | Healthcare | Medical Instruments & Supplies | -0.52 |
| MOFG | MidWestOne Financial Group Inc | $1.02B | Financial Services | Banks - Regional | -0.51 |
| CL | Colgate-Palmolive Company | $72B | Consumer Defensive | Household & Personal Products | -0.51 |
| YORW | York Water Company | $438M | Utilities | Utilities - Regulated Water | -0.51 |
| TCMD | Tactile Systems Technology Inc | $590M | Healthcare | Medical Devices | -0.50 |
| CTO | CTO Realty Growth Inc - New - New | $698M | Real Estate | Reit - Diversified | -0.50 |
| BGS | B&G Foods Inc | $326M | Consumer Defensive | Packaged Foods | -0.50 |
| MPLX | MPLX LP | $57B | Energy | Oil & Gas Midstream | -0.50 |
| UPS | United Parcel Service Inc - Class B | $88B | Industrials | Integrated Freight & Logistics | -0.50 |
| GMED | Globus Medical Inc - Class A | $11B | Healthcare | Medical Devices | -0.50 |