Defensive Quality
What it finds: Higher-quality, lower-beta dividend defensives. • Best market regime: Late-cycle, recession risk, or volatility spikes. • Typical trigger: Capital rotates into stability while beta and quality filters tighten.
Filter breakdown
- Dividend yield ≥ 0.0%
- Beta: low
How to use this screen
Click Apply this screen to open the Screener pre-loaded with these filters. Re-rank the results by your preferred metric (Stockscore, Master Rank, RS Rank), then open any ticker for the full chart, factor breakdown, options-sentiment overlay and insider-buying history.
Screens are deterministic snapshots — they recompute every market day against the latest factor table. Save a copy in the Screener to tune thresholds for your own playbook.
Related screens in Defensive
Dividend Quality Defensives
What it finds: Income defensives with healthy balance-sheet and quality metrics. • Best market regime: Choppy or risk-off tapes favoring carry and resilience. • Typical trigger: Yield plus quality alignment with conservative leverage.
Defensive Rotation
What it finds: ETFs with strong composite signal and leading RRG placement. • Best market regime: Risk-off rotations where defensives gain relative strength. • Typical trigger: ETF signal flips strong while quadrant remains Leading.
Bear Defense ETFs
What it finds: Defensive-sector ETFs (Utilities, Staples, Healthcare) that are leading the relative-rotation graph. • Best market regime: Risk-off / late-cycle tapes when capital seeks stability. • Typical trigger: Defensive sector ETF with BUY signal in the Leading quadrant.