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87 Stocks and 13 ETFs for diversifying National Storage Affiliates Trust (NSA-P-B)

The least correlated asset to National Storage Affiliates Trust (NSA-P-B) is ETF JHDG (WISDOMTREE JAPAN HEDGED QUALITY DIVIDEND GROWTH FUND NA). The correlation is -1.

Stocks that lowly correlated with NSA-P-B

SymbolName
Market cap
SectorIndustry
Correlation
TFSATerra Income Fund 6, LLC 7.00% Notes due 2026$124MN/AN/A-0.88
HYACHaymaker Acquisition Corp. 4$330MFinancial ServicesShell Companies-0.87
TBMCTrailblazer Merger Corp I - Class A$29MFinancial ServicesShell Companies-0.80
HKITHitek Global Inc$4.63MTechnologyInformation Technology Services-0.80
AMSAmerican Shared Hospital Services$9.64MHealthcareMedical Care Facilities-0.77
BURBurford Capital Ltd$996MFinancial ServicesAsset Management-0.75
HSPTHorizon Space Acquisition II Corp$61MFinancial ServicesShell Companies-0.75
ATIFATIF Holdings Ltd$6.07MN/AN/A-0.74
QSEARQuartzsea Acquisition Corp$814KN/AN/A-0.72
LBGJLi Bang International Corp Inc$189KIndustrialsSpecialty Industrial Machinery-0.72
DRDBWRoman DBDR Acquisition Corp II Warrants$8.22MN/AN/A-0.71
IMMPImmutep Ltd$64MHealthcareBiotechnology-0.70
UCARU Power Ltd$4.59MConsumer CyclicalAuto & Truck Dealerships-0.70
CNFRZConifer Holdings Inc$226MN/AN/A-0.69
UYSCRUY Scuti Acquisition Corp$277KN/AN/A-0.69
VRDNViridian Therapeutics Inc$1.77BHealthcareBiotechnology-0.68
TAVIRTavia Acquisition Corp$619KN/AN/A-0.67
BACQBleichroeder Acquisition Corp I - Class A$545MFinancial ServicesShell Companies-0.66
BGMSPBio Green Med Solution Inc$6.53MN/AN/A-0.64
SDHIRSiddhi Acquisition Corp$1.38MN/AN/A-0.63
CHARRCharlton Aria Acquisition Corporation Rights$226KN/AN/A-0.62
MINFT Ltd -Class A$2.92MConsumer CyclicalInternet Retail-0.62
UONEUrban One Inc - Class A$26MCommunication ServicesBroadcasting-0.61
RBCPRBC Bearings Incorporated 5.00 Series A Mandatory Convertible Preferred Stock$3.64BN/AN/A-0.61
LCCCRLakeshore Acquisition III Corp$500KN/AN/A-0.60
LNSRLENSAR Inc$71MHealthcareMedical Devices-0.60
ICMBInvestcorp Credit Management BDC Inc$19MFinancial ServicesAsset Management-0.59
RDACURising Dragon Acquisition Corp - Units (1 Ord Shs & 1 Rts)$13MFinancial ServicesShell Companies-0.57
LPAAULaunch One Acquisition Corp - Units (1 Ord Class A & 1/2 War)$247MFinancial ServicesShell Companies-0.57
FTLFFitLife Brands Inc$93MConsumer DefensivePackaged Foods-0.57
GENVRGen Digital Inc$1.02BN/AN/A-0.57
FORLFour Leaf Acquisition Corporation Class A Common Stock$47MN/AN/A-0.57
WALDWaldencast plc - Class A$149MConsumer DefensiveHousehold & Personal Products-0.57
REPLReplimune Group Inc$374MHealthcareBiotechnology-0.57
OPINLOffice Properties Income Trust$82MN/AN/A-0.56
UOKAMDJM Ltd$106KConsumer CyclicalLodging-0.56
PMAXPowell Max Ltd - Class A$20MFinancial ServicesCapital Markets-0.56
ULUnilever plc$127BConsumer DefensiveHousehold & Personal Products-0.55
FGLFounder Group Ltd$2.30MIndustrialsEngineering & Construction-0.55
TPBTurning Point Brands Inc$1.73BConsumer DefensiveTobacco-0.55
DERMJourney Medical Corp$164MHealthcareDrug Manufacturers - Specialty & Generic-0.53
NHICUNewHold Investment Corp II - Units (1 Ord Share Class A & 1/2 War)$210MN/AN/A-0.52
PNSkycorp Solar Group Ltd - Series A$100MTechnologySolar-0.52
VEEETwin Vee PowerCats Company$3.57MConsumer CyclicalRecreational Vehicles-0.52
FYBRFrontier Communications Parent Inc$9.64BCommunication ServicesTelecom Services-0.52
BGMQilian International Holding Group Ltd - Class A$7.45MHealthcareDrug Manufacturers - Specialty & Generic-0.51
NOTEFiscalNote Holdings Inc - Class A$3.29MTechnologyInformation Technology Services-0.51
ALDXAldeyra Therapeutics Inc$103MHealthcareBiotechnology-0.51
MKCMcCormick & Co. Inc (Non Voting)$13BConsumer DefensivePackaged Foods-0.51
BEEPMobile Infrastructure Corp$81MIndustrialsInfrastructure Operations-0.51
MKC-VMcCormick & Co. Inc$13BConsumer DefensivePackaged Foods-0.51
RDACRRising Dragon Acquisition Corp$192KN/AN/A-0.50
DRDBURoman DBDR Acquisition Corp II - Units (1 Ord Cls A & 1/2 War)$243MFinancial ServicesShell Companies-0.49
LNNLindsay Corporation$1.16BIndustrialsFarm & Heavy Construction Machinery-0.49
ATLCPAtlanticus Holdings Corp$613MFinancial ServicesCredit Services-0.49
GROWU.S. Global Investors Inc - Class A$32MFinancial ServicesAsset Management-0.48
SYYSysco Corp$36BConsumer DefensiveFood Distribution-0.48
BARKBARK Inc - Class A$80MConsumer CyclicalSpecialty Retail-0.48
YEXTYext Inc$484MTechnologySoftware - Infrastructure-0.46
RVPHReviva Pharmaceuticals Holdings Inc$4.91MHealthcareBiotechnology-0.46
YRDYiren Digital Ltd$129MFinancial ServicesCredit Services-0.46
FSEAFirst Seacoast Bancorp Inc$79MFinancial ServicesBanks - Regional-0.46
FBLGFibroBiologics Inc$4.23MHealthcareBiotechnology-0.46
GISGeneral Mills Inc$18BConsumer DefensivePackaged Foods-0.46
AVDAmerican Vanguard Corp$74MBasic MaterialsAgricultural Inputs-0.45
RNLXRenalytix Plc$295MN/AN/A-0.45
MAYSJ.W. Mays Inc$83MReal EstateReal Estate Services-0.45
OSGOverseas Shipholding Group Inc - Class A$242MFinancial ServicesInsurance - Specialty-0.45
TAYDTaylor Devices Inc$167MIndustrialsSpecialty Industrial Machinery-0.45
SKYXSKYX Platforms Corp$148MIndustrialsElectrical Equipment & Parts-0.45
CAGConagra Brands Inc$6.38BConsumer DefensivePackaged Foods-0.45
YYGHYY Group Holding Ltd - Class A$12MConsumer CyclicalPersonal Services-0.45
TATTTAT Technologies Ltd$524MIndustrialsAerospace & Defense-0.44
BIPCBrookfield Infrastructure Corp (Exchangeable Shares) - Class A$5.52BUtilitiesUtilities - Regulated Gas-0.44
PRGSProgress Software Corp$1.25BTechnologySoftware - Infrastructure-0.44
MPLXMPLX LP$57BEnergyOil & Gas Midstream-0.44
DKLDelek Logistics Partners LP$2.69BEnergyOil & Gas Refining & Marketing-0.44
LNKSLinkers Industries Ltd - Class A$16MIndustrialsElectrical Equipment & Parts-0.44
HCATHealth Catalyst Inc$96MHealthcareHealth Information Services-0.44
JDZGJiade Ltd$1.58MConsumer DefensiveEducation & Training Services-0.43
HPAIHelport AI Ltd$33MTechnologySoftware - Infrastructure-0.43
ICCMIcecure Medical Ltd$16MHealthcareMedical Devices-0.43
CDRECadre Holdings Inc$1.31BIndustrialsAerospace & Defense-0.43
QTRXQuanterix Corp$125MHealthcareMedical Devices-0.43
MAZEMaze Therapeutics Inc$1.30BHealthcareBiotechnology-0.43
INLFINLIF Ltd$68MIndustrialsSpecialty Industrial Machinery-0.43
SJMJ.M. Smucker Company$11BConsumer DefensivePackaged Foods-0.43

ETFs that lowly correlated with NSA-P-B

SymbolName
AUM
Expense Ratio
Inception Date
Correlation
JHDGWISDOMTREE JAPAN HEDGED QUALITY DIVIDEND GROWTH FUND NA$64M0.49%Apr 7, 2026-1.00
PPIInvestment Managers Series Trust II Astoria Real Assets ETF$159M0.58%Dec 30, 2021-0.73
BFRZInnovator Equity Managed 100 Buffer ETF$124M0.89%May 12, 2025-0.70
GOLYSTRATEGY SHARES GOLD ENHANCED YIELD ETF $126M0.90%May 17, 2021-0.61
MCIBarings Corporate Investors$343MN/AN/A-0.58
NHSNeuberger Berman High Yield Strategies Fund$285MN/AN/A-0.54
GMMAGAMMAROAD MARKET NAVIGATION ETF $6.30M0.75%Sep 16, 2024-0.49
BRKWROUNDHILL BRKB WEEKLYPAY ETF $16MN/AJun 17, 2025-0.48
YGLDSimplify Gold Strategy PLUS Income ETF$49M0.53%Dec 2, 2024-0.45
DEFRAPTUS DEFERRED INCOME ETF$116M0.79%May 13, 2025-0.45
SCOProShares UltraShort Bloomberg Crude Oil -2x Shares$1.10BN/ANov 24, 2008-0.45
STXISTRIVE INTERNATIONAL DEVELOPED MARKETS ETF $24M0.29%Jun 25, 2024-0.43
TSIIREX TSLA GROWTH & INCOME ETF $41MN/AJun 3, 2025-0.43