3 Low-Volatility Stocks to Avoid for Better Returns

Sunday, Nov 2, 2025 7:47 am ET1min read

The article discusses three low-volatility stocks to avoid due to their underperformance and challenges in delivering market-beating returns. Workiva (WK) has failed to increase its operating margin, Verizon (VZ) has struggled with customer growth and soft demand, and Quest Diagnostics (DGX) has experienced stagnant sales growth and eroding returns on capital. Better alternatives are not mentioned in the article.

3 Low-Volatility Stocks to Avoid for Better Returns

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