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Harvest
Tax-loss replacement research
UVV
Universal Corporation
Consumer StaplesTobaccoTobacco
3 stocks · 12 ETFs
data as of Aug 24, 2026
REPLACEMENT RESEARCH

Tax-loss harvesting alternatives for UVV

Among the 3 Tobacco peers screened, BTI (British American Tobacco) has tracked UVV most closely over the past year, with a return correlation of 0.46. The strongest fund stand-in is IYK (iShares US Consumer Staples ETF) at 0.43 over the past year. Correlations are computed from daily closing-price returns aligned by trading day.

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STOCKS

Single-name peers

TickerNameSub-industry1Y3Y5Y10Y
BTIBritish American TobaccoTobacco0.460.360.380.36
MOAltria GroupTobacco0.410.370.400.40
PMPhilip MorrisTobacco0.400.350.410.41
ETFS

Fund stand-ins

An ETF is generally not 'substantially identical' to a single stock, which is why funds are the standard wash-sale-aware replacement.

TickerNameFocusMatch1Y3Y5Y10Y
IYKiShares US Consumer Staples ETFCons Staples SectorSECTOR0.430.390.430.41
PBJInvesco Food & Beverage ETFFood & BeverageINDUSTRY0.410.410.440.41
FSTAFidelity MSCI Consumer StaplesCons Staples SectorSECTOR0.410.370.420.41
XLPConsumer Staples Select SPDRCons Staples SectorSECTOR0.400.360.400.40
VDCVanguard Consumer Staples ETFCons Staples SectorSECTOR0.400.370.410.42
RTHVanEck Retail ETFRetailINDUSTRY0.160.230.240.28
IWMiShares Russell 2000Small-CapBROAD-0.030.250.300.36
VTIVanguard Total Stock MarketTotal US MarketBROAD-0.110.140.230.30
SPYSPDR S&P 500 ETFS&P 500BROAD-0.110.120.220.30
VOOVanguard S&P 500 ETFS&P 500BROAD-0.120.120.220.30
IVViShares Core S&P 500S&P 500BROAD-0.120.120.220.30
IWFiShares Russell 1000 GrowthLarge GrowthBROAD-0.210.020.120.20
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Method: Pearson correlation of daily closing-price returns, Yahoo Finance data, series aligned by trading day, refreshed weekly. A cell is blank when overlapping history covers less than 60% of its window. Correlation is descriptive, not predictive. Wash-sale treatment depends on facts and circumstances — confirm with a tax professional. Not investment advice.