In the volatile stock market, investors are always on the lookout for opportunities that offer high returns with minimal risk. As we step into April 2019, here are some top US stocks that fit the bill of low risk high reward. These companies have a strong track record, robust financials, and promising growth prospects, making them ideal picks for investors seeking stability and potential for significant gains.
1. Apple Inc. (AAPL)

Apple Inc. (AAPL) is a tech giant that has consistently delivered impressive returns to its investors. The company’s diversified product portfolio, strong brand loyalty, and innovative culture make it a low-risk investment with high potential rewards. With its latest iPhone models and services like Apple Music and iCloud, Apple continues to expand its revenue streams and dominate the tech industry.
2. Microsoft Corporation (MSFT)
Microsoft Corporation (MSFT) is another tech giant that has a proven track record of delivering strong returns. The company’s software products, cloud computing services, and gaming division are all areas of growth. Microsoft’s low debt, strong cash flow, and commitment to innovation make it a low-risk, high-reward investment.
3. Johnson & Johnson (JNJ)
Johnson & Johnson (JNJ) is a healthcare conglomerate with a diverse portfolio of products and services. The company’s strong brand reputation, extensive global presence, and commitment to research and development make it a low-risk investment with high potential rewards. JNJ’s consumer healthcare, pharmaceuticals, and medical devices divisions all contribute to its robust financial performance.
4. Procter & Gamble (PG)
Procter & Gamble (PG) is a consumer goods giant that offers a wide range of products across various categories, including beauty, health, and home care. The company’s strong brand portfolio, global distribution network, and commitment to sustainability make it a low-risk investment with high potential rewards. PG’s ability to innovate and adapt to changing consumer preferences ensures its continued success in the market.
5. Exxon Mobil Corporation (XOM)
Exxon Mobil Corporation (XOM) is one of the largest oil and gas companies in the world. The company’s strong financials, diverse energy portfolio, and commitment to innovation make it a low-risk, high-reward investment. As the global energy market continues to evolve, Exxon Mobil is well-positioned to capitalize on new opportunities and maintain its position as a market leader.
6. Coca-Cola Company (KO)
The Coca-Cola Company (KO) is a global beverage giant with a vast portfolio of brands, including Coke, Diet Coke, and Sprite. The company’s strong brand reputation, extensive distribution network, and commitment to innovation make it a low-risk, high-reward investment. Coca-Cola’s ability to adapt to changing consumer preferences and invest in emerging markets ensures its continued success.
In conclusion, investing in low-risk, high-reward stocks can help investors achieve their financial goals while minimizing potential losses. The companies mentioned above have a strong track record, robust financials, and promising growth prospects, making them ideal picks for investors seeking stability and potential for significant gains. As always, it is important to conduct thorough research and consult with a financial advisor before making any investment decisions.