2020 US Brokers

Financial Strength Rankings using Artificial Intelligence

Top rated20 of 81
Best rating262 %
Worst rating1.30 %
New companies17
Negative Economic Capital Ratio

United States Gasoline Fund LP climbed 41 positions from 42 to 1 due to its excellent Comprehensive Net Income.Siebert Financial CORP lost 49 positions from 1 to 50 due to its bad Stockholders Equity.Abrdn Precious Metals Basket ETF Trust entered the 2020 ranking at rank 8, making it the best newcomer.

Revenues124 B
Assets1.11 K
Expenses108 B
Stockholders Equity188 B
Unprofitable Companies
RankCompanySealRating ValueTrend
1United States Gasoline Fund LP262.07%41.0
2United States Oil Fund LP245.66%36.0
3United States Brent Oil Fund LP244.95%34.0
4Invesco DB Oil Fund238.87%24.0
5United States 12 Month Oil Fund LP234.23%16.0
6Invesco DB Energy Fund231.06%33.0
7Invesco DB Gold Fund222.36%16.0
8Abrdn Precious Metals Basket ETF Trust214.44%0.0
9Abrdn Gold ETF Trust210.07%2.0
10Invesco DB Commodity Index Tracking Fund209.93%26.0
11Invesco DB Precious Metals Fund209.06%6.0
12Ceres Classic L P208.52%28.0
13Invesco DB Silver FUND205.67%21.0
14Morgan Stanley Smith Barney Spectrum Select LP202.74%21.0
15Abrdn Silver ETF Trust201.65%0.0
16Wisdomtree Continuous Commodity Index Master Fund200.04%15.0
17Invesco DB G10 Currency Harvest Fund195.11%-7.0
18Campbell FUND Trust194.89%14.0
19Price T ROWE Group INC188.79%-15.0
20Grant PARK Futures FUND Limited Partnership188.41%10.0
21Invesco Currencyshares Canadian Dollar Trust188.17%0.0
22Campbell Strategic Allocation FUND LP188.02%11.0
23Nestor Partners187.10%-14.0
24Invesco Currencyshares British Pound Sterling Trust186.67%0.0
25Ceres Abingdon L P186.05%-10.0
26Invesco Currencyshares Japanese Yen Trust185.68%0.0
27Invesco Currencyshares Euro Trust185.36%0.0
28Invesco Currencyshares Swiss Franc Trust184.26%0.0
29Locorr Futures Portfolio FUND L P183.56%-10.0
30Potomac Futures FUND LP183.46%-5.0
31Global Macro Trust182.98%-18.0
32Invesco DB Agriculture FUND182.97%-5.0
33Invesco DB US Dollar Index Bullish Fund181.68%-26.0
34Invesco DB BASE Metals FUND181.54%12.0
35Ceres Tactical Systematic L P176.32%-9.0
36Ceres Tactical Commodity L P175.73%-22.0
37United States Commodity Index Funds Trust175.16%0.0
38Associated Capital Group Inc174.73%-14.0
39Altegris Winton Futures Fund L P174.22%-17.0
40MAN AHL Diversified I LP174.20%0.0
41Emerging CTA Portfolio LP173.96%-12.0
42SEI Investments CO170.86%-26.0
43Ceres Tactical Global L P170.65%-31.0
44Managed Futures Premier Warrington L P169.09%-38.0
45Marketaxess Holdings INC167.58%-40.0
46Tradeweb Markets Inc161.98%0.0
47Invesco Currencyshares Australian Dollar Trust159.02%0.0
48United States Natural Gas Fund LP157.28%-46.0
49United States 12 Month Natural Gas Fund LP144.23%-46.0
50Siebert Financial CORP140.93%-49.0
51Invesco DB US Dollar Index Bearish FUND138.37%-33.0
52Waddell REED Financial INC125.51%-11.0
53Cboe Global Markets Inc123.78%-33.0
54National Holdings CORP116.11%-9.0
55Gamco Investors INC ET AL111.49%-12.0
56Morgan Group Holding CO104.22%0.0
57Piper Sandler Companies103.53%0.0
58Nasdaq INC102.37%-9.0
59Wisdomtree Inc97.14%-15.0
60CME Group INC84.23%-10.0
61Freedom Holding Corp82.23%0.0
62Ladenburg Thalmann Financial Services INC78.42%-14.0
63Cowen INC72.31%-12.0
64TD Ameritrade Holding CORP71.64%-9.0
65Blackrock Finance Inc70.14%-8.0
66BGC Group Inc67.60%-13.0
67Jefferies Financial Group Inc67.34%0.0
68Intercontinental Exchange Inc67.30%-10.0
69Raymond James Financial INC66.61%-10.0
70Stifel Financial CORP63.92%-8.0
71Jefferies Group LLC61.65%-10.0
72GAIN Capital Holdings Inc60.42%0.0
73Virtu Financial Inc59.27%-17.0
74Greenhill CO INC58.81%-14.0
75Interactive Brokers Group Inc58.48%-11.0
76Schwab Charles CORP56.14%-11.0
77Stonex Group Inc54.29%-11.0
78Jones Financial Companies LLLP53.50%-15.0
79Navient CORP51.60%-11.0
80Cohen Co Inc48.49%-11.0
81Antiaging Quantum Living Inc1.30%0.0
RankCompanySealRating ValueTrend

Feature Distribution Plot

The Feature Distribution shows the main industry variables and the distribution of their impact on financial strength. The more important a variable, the broader the distribution. As the effects are calculated relative to the industry average, half of the companies have a positive effect (green) and half have a negative effect (red). 


Regression Plot

The Regression compares the forecasted company valuation with the observed stock market values. A positive correlation suggests that the model effectively explains market prices.


Feature Importance


United States Ratings

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German Insurance Ratings