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80 Stocks and 20 ETFs for diversifying LATAM Airlines Group (LTM)

The least correlated asset to LATAM Airlines Group (LTM) is ETF CLIM (CLIMATE GLOBAL - CLIMATE RESILIENT REIT INDEX ETF). The correlation is -0.9432.

Stocks that lowly correlated with LTM

SymbolName
Market cap
SectorIndustry
Correlation
PLMIPlum Acquisition Corp I - Class A$192MN/AN/A-0.87
ZKHZKH Group Ltd$451MConsumer CyclicalInternet Retail-0.80
HLVXHilleVax Inc$105MHealthcareBiotechnology-0.74
WTGUUWintergreen Acquisition Corp - Units (1 Ord Shs & 1 Rts)$20MFinancial ServicesShell Companies-0.69
HRYUGlobal Interactive Technologies Inc$760KCommunication ServicesInternet Content & Information-0.68
LRELead Real Estate Co Ltd$18MReal EstateReal Estate - Development-0.66
CRCLCircle Internet Group Inc - Class A$25BFinancial ServicesCapital Markets-0.64
TMDETMD Energy Ltd$18MEnergyOil & Gas Midstream-0.62
DFSCDEFSEC Technologies Inc Com$8.73MIndustrialsAerospace & Defense-0.62
STAKStak Inc$17MEnergyOil & Gas Equipment & Services-0.60
JBIOJade Biosciences Inc$1.06BHealthcareBiotechnology-0.60
CCLDOCareCloud Inc$1.17BHealthcareHealth Information Services-0.59
RAAQReal Asset Acquisition Corp - Class A$196MFinancial ServicesShell Companies-0.58
EQVEQV Ventures Acquisition Corp.$466MFinancial ServicesShell Companies-0.56
BOLDBoundless Bio Inc$33MHealthcareBiotechnology-0.55
SAFXXCF Global Inc$126MUtilitiesUtilities - Renewable-0.55
MAXNMaxeon Solar Technologies Ltd$13MTechnologySolar-0.54
IHSIHS Holding Ltd$2.85BReal EstateReal Estate Services-0.53
ANGXAngel Studios Inc - Class A$474MCommunication ServicesEntertainment-0.52
LPALogistic Properties of the Americas$89MReal EstateReal Estate - Development-0.51
PRTCPureTech Health plc American Depositary Shares$377MHealthcareBiotechnology-0.50
ELTXElicio Therapeutics Inc$201MHealthcareBiotechnology-0.50
AIIAmerican Integrity Insurance Group Inc$328MFinancial ServicesInsurance - Property & Casualty-0.50
CTRICenturi Holdings Inc$3.13BUtilitiesUtilities - Regulated Gas-0.49
HONDHCM II Acquisition Corp. Class A Ordinary Shares$519MFinancial ServicesShell Companies-0.47
RDAGRepublic Digital Acquisition Co. - Class A$310MFinancial ServicesShell Companies-0.47
APRNBlue Apron Holdings Inc - Class A$100MN/AN/A-0.46
VSEEVSee Health Inc$11MHealthcareHealth Information Services-0.46
CINGCingulate Inc$47MHealthcareBiotechnology-0.45
QSEAQuartzsea Acquisition Corp$87MFinancial ServicesShell Companies-0.44
UNCYUnicycive Therapeutics Inc$178MHealthcareBiotechnology-0.44
FRESFresh2 Group Limited$2.97MHealthcareDiagnostics & Research-0.44
STRZStarz Entertainment Corp$380MCommunication ServicesEntertainment-0.43
FBIOPFortress Biotech Inc$78MHealthcareBiotechnology-0.42
DAAQDigital Asset Acquisition Corp - Class A$178MFinancial ServicesShell Companies-0.42
BMGLBasel Medical Group Ltd$11MHealthcareMedical Care Facilities-0.42
HMRSports Properties Acquisition Corp$73MIndustrialsMarine Shipping-0.42
CSAICloudastructure Inc - Class A$8.98MTechnologySoftware - Infrastructure-0.42
OMDAOmada Health Inc$975MHealthcareHealth Information Services-0.41
TVAIUThayer Ventures Acquisition Corp II - Units (1 Ord Cls A & 1 Rts)$10MFinancial ServicesShell Companies-0.41
AZTRAzitra Inc$3.32MHealthcareBiotechnology-0.41
FCRXCrescent Capital BDC, Inc. 5.00% Notes due 2026$918MN/AN/A-0.40
RFAIRF Acquisition Corp II$116MFinancial ServicesShell Companies-0.40
KOREKore Group Holdings Inc$162MCommunication ServicesTelecom Services-0.39
IPCXInflection Point Acquisition Corp III - Class A$261MFinancial ServicesShell Companies-0.39
RIBBURibbon Acquisition Corp - Units (1 Ord Cls A & 1 Rts)$56MFinancial ServicesShell Companies-0.38
RWTNRedwood Trust Inc 9.125 Senior Notes Due 2029$3.13BN/AN/A-0.37
NCTIntercont (Cayman) Ltd$2.61MIndustrialsMarine Shipping-0.37
BCGBinah Capital Group Inc$28MFinancial ServicesAsset Management-0.37
EMAEmera Incorporated$16BUtilitiesUtilities - Regulated Electric-0.37
EFC-P-DEllington Financial Inc$2.87BN/AN/A-0.37
TLXTelix Pharmaceuticals Ltd$3.30BHealthcareBiotechnology-0.37
AILEiLearningEngines Holdings Inc - Class A$59MTechnologySoftware - Infrastructure-0.36
QXOQXO Inc$12BIndustrialsIndustrial Distribution-0.36
ASAmer Sports Inc$21BConsumer CyclicalLeisure-0.36
PFAIPinnacle Food Group Ltd - Class A$46MConsumer DefensiveFarm Products-0.36
HELEHelen of Troy Ltd$629MConsumer DefensiveHousehold & Personal Products-0.36
SPKLUSpark I Acquisition Corp - Units (1 Ord Class A & 1/2 War)$81MFinancial ServicesShell Companies-0.36
TWNPTwin Hospitality Group Inc. Class A Common Stock$4.08MConsumer CyclicalRestaurants-0.35
YSXTYsx Tech Co.Ltd - Class A$24MIndustrialsSpecialty Business Services-0.35
MKZRMackenzie Realty Capital Inc$5.11MReal EstateReit - Diversified-0.35
ZNTLZentalis Pharmaceuticals Inc$286MHealthcareBiotechnology-0.35
STFSStar Fashion Culture Holdings Ltd - Class A$903KCommunication ServicesAdvertising Agencies-0.35
XAIRBeyond Air Inc$4.75MHealthcareMedical Devices-0.34
THCHTH International Ltd$61MConsumer CyclicalRestaurants-0.34
TACHTitan Acquisition Corp - Class A$286MFinancial ServicesShell Companies-0.34
RAAQUReal Asset Acquisition Corp - Units (1 Ord Cls A & 1/2 War)$69MFinancial ServicesShell Companies-0.34
ACHLAchilles Therapeutics Plc$63MHealthcareBiotechnology-0.34
STISolidion Technology Inc$36MIndustrialsElectrical Equipment & Parts-0.34
SPCEVirgin Galactic Holdings Inc - Class A$309MIndustrialsAerospace & Defense-0.34
FOSLLFossil Group Inc$891MN/ANone-0.34
FRLAUFortune Rise Acquisition Corp - Units (1 Ord Share Class A & 1/2 War)$36MFinancial ServicesShell Companies-0.34
GANXGain Therapeutics Inc$75MHealthcareBiotechnology-0.34
NKENike Inc - Class B$68BConsumer CyclicalFootwear & Accessories-0.34
ELANElanco Animal Health Inc$12BHealthcareDrug Manufacturers - Specialty & Generic-0.33
WDHWaterdrop Inc$552MFinancial ServicesInsurance - Diversified-0.33
CAEPCantor Equity Partners III Inc - Class A$420MFinancial ServicesShell Companies-0.33
TSHATaysha Gene Therapies Inc$1.65BHealthcareBiotechnology-0.33
EDHLEverbright Digital Holding Ltd$4.80MCommunication ServicesAdvertising Agencies-0.32
ENGSEnergys Group Ltd$12MIndustrialsWaste Management-0.32

ETFs that lowly correlated with LTM