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91 Stocks and 9 ETFs for diversifying Pinnacle Food Group (PFAI)

The least correlated asset to Pinnacle Food Group (PFAI) is ETF JHDG (WISDOMTREE JAPAN HEDGED QUALITY DIVIDEND GROWTH FUND NA). The correlation is -1.

Stocks that lowly correlated with PFAI

SymbolName
Market cap
SectorIndustry
Correlation
LRFCLogan Ridge Finance Corporation$51MN/AN/A-0.95
ESGREnstar Group Ltd$5.09BN/AN/A-0.90
KIRKBrand House Collective Inc (The).$37MN/AN/A-0.87
IOBTIO Biotech Inc$14MHealthcareBiotechnology-0.78
BURBurford Capital Ltd$996MFinancial ServicesAsset Management-0.76
YYGHYY Group Holding Ltd - Class A$12MConsumer CyclicalPersonal Services-0.75
TAYDTaylor Devices Inc$167MIndustrialsSpecialty Industrial Machinery-0.72
BTIBritish American Tobacco Plc$140BConsumer DefensiveTobacco-0.72
SNWVSANUWAVE Health, Inc. Common Stock$140MN/AN/A-0.71
CALMCal-Maine Foods Inc$3.60BConsumer DefensiveFarm Products-0.70
HYACHaymaker Acquisition Corp. 4$330MFinancial ServicesShell Companies-0.70
SWINSolowin Holdings$54MN/AN/A-0.69
SRDXSurmodics Inc$614MHealthcareMedical Devices-0.69
NXSTNexstar Media Group Inc$5.65BCommunication ServicesBroadcasting-0.68
NKENike Inc - Class B$68BConsumer CyclicalFootwear & Accessories-0.66
SPTNSpartanNash Company$922MConsumer DefensiveFood Distribution-0.66
FGLFounder Group Ltd$2.30MIndustrialsEngineering & Construction-0.66
MODGTopgolf Callaway Brands Corp$2.70BConsumer CyclicalLeisure-0.66
DLTRDollar Tree Inc$19BConsumer DefensiveDiscount Stores-0.65
OXSQZOxford Square Capital Corp$1.85BN/AOther-0.65
BASECouchbase Inc$1.34BTechnologySoftware - Infrastructure-0.65
INLFINLIF Ltd$68MIndustrialsSpecialty Industrial Machinery-0.64
LBGJLi Bang International Corp Inc$189KIndustrialsSpecialty Industrial Machinery-0.63
BCEBCE Inc$23BCommunication ServicesTelecom Services-0.63
CGBDLCarlyle Secured Lending Inc$1.86BN/AN/A-0.62
TBMCTrailblazer Merger Corp I - Class A$29MFinancial ServicesShell Companies-0.62
SNYRSynergy CHC Corp$2.84MHealthcareMedical Distribution-0.62
BNCCEA Industries Inc$108MIndustrialsFarm & Heavy Construction Machinery-0.61
DALNDallasNews Corporation - Class A$88MN/AN/A-0.61
CTASCintas Corporation$68BIndustrialsSpecialty Business Services-0.61
VRDNViridian Therapeutics Inc$1.77BHealthcareBiotechnology-0.61
APPFAppfolio Inc - Class A$5.82BTechnologySoftware - Application-0.61
OPINLOffice Properties Income Trust$82MN/AN/A-0.61
AMSAmerican Shared Hospital Services$9.64MHealthcareMedical Care Facilities-0.60
NETDNabors Energy Transition Corp II - Class A$73MFinancial ServicesShell Companies-0.60
STGSunlands Technology Group$35MConsumer DefensiveEducation & Training Services-0.59
LNSRLENSAR Inc$71MHealthcareMedical Devices-0.59
IMCCIM Cannabis Corp$1.58MHealthcareDrug Manufacturers - Specialty & Generic-0.59
WLDNWilldan Group Inc$1.39BIndustrialsEngineering & Construction-0.59
PHRPhreesia Inc$545MHealthcareHealth Information Services-0.59
SRADSportradar Group AG - Class A$3.84BTechnologySoftware - Application-0.59
MLKNMillerKnoll Inc$1.12BConsumer CyclicalFurnishings, Fixtures & Appliances-0.59
MAINMain Street Capital Corporation$4.72BFinancial ServicesAsset Management-0.58
LGCBLinkage Global Inc$24MConsumer CyclicalInternet Retail-0.58
SBRASabra Healthcare REIT Inc$5.16BReal EstateReit - Healthcare Facilities-0.58
CSGPCostar Group Inc$13BReal EstateReal Estate Services-0.58
RCIRogers Communications Inc - Class B$20BCommunication ServicesTelecom Services-0.58
REREATRenew Inc$766MConsumer CyclicalInternet Retail-0.58
UCLUcloudlink Group Inc$39MCommunication ServicesTelecom Services-0.58
BRBroadridge Financial Solutions Inc$17BTechnologyInformation Technology Services-0.58
ALDXAldeyra Therapeutics Inc$103MHealthcareBiotechnology-0.57
KITTNauticus Robotics Inc$6.09MIndustrialsAerospace & Defense-0.57
PNSkycorp Solar Group Ltd - Series A$100MTechnologySolar-0.57
SDMSmart Digital Group Ltd$59MCommunication ServicesAdvertising Agencies-0.57
TLSIWTriSalus Life Sciences Inc Wt Exp$48MN/AN/A-0.57
FORLFour Leaf Acquisition Corporation Class A Common Stock$47MN/AN/A-0.57
LPBBULaunch Two Acquisition Corp - Units (1 Ord Class A & 1/2 War)$247MFinancial ServicesShell Companies-0.57
ICCMIcecure Medical Ltd$16MHealthcareMedical Devices-0.56
MNYMoneyHero Ltd - Class A$60MCommunication ServicesInternet Content & Information-0.56
GLPGGalapagos NV$1.90BHealthcareBiotechnology-0.56
LGCYLegacy Education Inc$139MConsumer DefensiveEducation & Training Services-0.56
HYFTMindWalk Holdings Corp$80MHealthcareBiotechnology-0.56
OLLIOllies Bargain Outlet Holdings Inc$4.82BConsumer DefensiveDiscount Stores-0.56
CHARRCharlton Aria Acquisition Corporation Rights$226KN/AN/A-0.56
VRNAVerona Pharma Plc$78BHealthcareBiotechnology-0.56
TMETencent Music Entertainment Group$14BCommunication ServicesInternet Content & Information-0.56
CIOCITY OFFICE REIT, INC.$282MReal EstateReit - Office-0.56
CSWCZCapital Southwest Corp$1.64BFinancial ServicesAsset Management-0.56
UONEKUrban One Inc - Class D$21MCommunication ServicesBroadcasting-0.56
MLTXMoonLake Immunotherapeutics - Class A$1.31BHealthcareBiotechnology-0.55
HROWLHarrow, Inc. 8.625% Senior Notes due 2026$996MN/ANone-0.55
MINFT Ltd -Class A$2.92MConsumer CyclicalInternet Retail-0.55
RRRRed Rock Resorts Inc - Class A$5.84BConsumer CyclicalResorts & Casinos-0.55
IRIXIRIDEX Corp$18MHealthcareMedical Devices-0.55
NOTEFiscalNote Holdings Inc - Class A$3.29MTechnologyInformation Technology Services-0.55
HKITHitek Global Inc$4.63MTechnologyInformation Technology Services-0.55
MPUMega Matrix Inc - Class A$30MCommunication ServicesEntertainment-0.55
ENLVEnlivex Therapeutics Ltd$186MHealthcareBiotechnology-0.55
YEXTYext Inc$484MTechnologySoftware - Infrastructure-0.54
SVCService Properties Trust$297MReal EstateReit - Hotel & Motel-0.54
PATKPatrick Industries Inc$3.10BConsumer CyclicalRecreational Vehicles-0.54
SMXTSolarMax Technology Inc$31MTechnologySolar-0.53
UONEUrban One Inc - Class A$26MCommunication ServicesBroadcasting-0.53
GELGenesis Energy L.P.$1.86BEnergyOil & Gas Midstream-0.53
FBLGFibroBiologics Inc$4.23MHealthcareBiotechnology-0.53
HPAIHelport AI Ltd$33MTechnologySoftware - Infrastructure-0.53
KAROpenlane Inc$3.27BConsumer CyclicalAuto & Truck Dealerships-0.53
GENVRGen Digital Inc$1.02BN/AN/A-0.53
AFJKRAimei Health Technology Co Ltd$617KN/AN/A-0.53
MZTIThe Marzetti Company$3.15BConsumer DefensivePackaged Foods-0.53
CRMTAmericas Car Mart Inc$102MConsumer CyclicalAuto & Truck Dealerships-0.53

ETFs that lowly correlated with PFAI

SymbolName
AUM
Expense Ratio
Inception Date
Correlation
JHDGWISDOMTREE JAPAN HEDGED QUALITY DIVIDEND GROWTH FUND NA$64M0.49%Apr 7, 2026-1.00
TFLOISHARES TREASURY FLOATING RATE BOND ETF $6.70B0.15%Feb 4, 2014-0.68
FUMBFIRST TRUST ULTRA SHORT DURATION MUNICIPAL ETF $229M0.29%Nov 1, 2018-0.67
USFRWISDOMTREE FLOATING RATE TREASURY FUND $17B0.15%Feb 4, 2014-0.61
VABSVIRTUS NEWFLEET SECURITIZED INCOME ETF $79M0.39%Feb 9, 2021-0.58
JMSTJPMorgan Ultra-Short Municipal Income ETF$6.20B0.18%Oct 16, 2018-0.57
SUBISHARES SHORT-TERM NATIONAL MUNI BOND ETF $11B0.07%Nov 5, 2008-0.56
BUXXSTRIVE ENHANCED INCOME SHORT MATURITY ETF $471M0.26%Aug 9, 2023-0.55
MCIBarings Corporate Investors$343MN/AN/A-0.52