Multi Asset Growth Strategy Fund Beta

RAZAX Fund  USD 12.31  0.02  0.16%   
As of the 19th of February, Multi Asset secures the Downside Deviation of 0.4906, mean deviation of 0.3291, and Risk Adjusted Performance of 0.1694. In connection with fundamental indicators, the technical analysis model lets you check existing technical drivers of Multi Asset Growth, as well as the relationship between them.
Multi Asset's financial statements offer valuable quarterly and annual insights to potential investors, highlighting the company's current and historical financial position, overall management performance, and changes in financial standing over time. Key fundamentals influencing Multi Asset's valuation are provided below:
Multi Asset Growth Strategy does not presently have any fundamental ratios for analysis. This module does not cover all equities due to inconsistencies in global equity categorizations. Continue to Equity Screeners to view more equity screening tools.
  
It's important to distinguish between Multi Asset's intrinsic value and market price, which are calculated using different methodologies. Investment decisions regarding Multi Asset should consider multiple factors including financial performance, growth metrics, competitive position, and professional analysis. Meanwhile, Multi Asset's quoted price indicates the marketplace figure where supply meets demand through bilateral consent.

Multi Asset 'What if' Analysis

In the world of financial modeling, what-if analysis is part of sensitivity analysis performed to test how changes in assumptions impact individual outputs in a model. When applied to Multi Asset's mutual fund what-if analysis refers to the analyzing how the change in your past investing horizon will affect the profitability against the current market value of Multi Asset.
0.00
11/21/2025
No Change 0.00  0.0 
In 3 months and 1 day
02/19/2026
0.00
If you would invest  0.00  in Multi Asset on November 21, 2025 and sell it all today you would earn a total of 0.00 from holding Multi Asset Growth Strategy or generate 0.0% return on investment in Multi Asset over 90 days. Multi Asset is related to or competes with Aqr Long-short, Aqr Equity, Angel Oak, Shelton Emerging, and Sp Midcap. The funds target strategic asset allocation is 60 percent to global equity or equity-related securities or instruments, ... More

Multi Asset Upside/Downside Indicators

Understanding different market momentum indicators often help investors to time their next move. Potential upside and downside technical ratios enable traders to measure Multi Asset's mutual fund current market value against overall market sentiment and can be a good tool during both bulling and bearish trends. Here we outline some of the essential indicators to assess Multi Asset Growth Strategy upside and downside potential and time the market with a certain degree of confidence.

Multi Asset Market Risk Indicators

Today, many novice investors tend to focus exclusively on investment returns with little concern for Multi Asset's investment risk. Other traders do consider volatility but use just one or two very conventional indicators such as Multi Asset's standard deviation. In reality, there are many statistical measures that can use Multi Asset historical prices to predict the future Multi Asset's volatility.
Hype
Prediction
LowEstimatedHigh
11.9112.3112.71
Details
Intrinsic
Valuation
LowRealHigh
11.6612.0612.46
Details
Naive
Forecast
LowNextHigh
12.0212.4212.82
Details
Bollinger
Band Projection (param)
LowerMiddle BandUpper
10.7312.2613.80
Details
Please note, it is not enough to conduct a financial or market analysis of a single entity such as Multi Asset. Your research has to be compared to or analyzed against Multi Asset's peers to derive any actionable benefits. When done correctly, Multi Asset's competitive analysis will give you plenty of quantitative and qualitative data to validate your investment decisions or develop an entirely new strategy toward taking a position in Multi Asset Growth.

Multi Asset February 19, 2026 Technical Indicators

Multi Asset Growth Backtested Returns

At this stage we consider Multi Mutual Fund to be very steady. Multi Asset Growth has Sharpe Ratio of 0.35, which conveys that the entity had a 0.35 % return per unit of risk over the last 3 months. We have found twenty-seven technical indicators for Multi Asset, which you can use to evaluate the volatility of the fund. Please verify Multi Asset's Mean Deviation of 0.3291, risk adjusted performance of 0.1694, and Downside Deviation of 0.4906 to check out if the risk estimate we provide is consistent with the expected return of 0.14%. The fund secures a Beta (Market Risk) of -0.0177, which conveys not very significant fluctuations relative to the market. As returns on the market increase, returns on owning Multi Asset are expected to decrease at a much lower rate. During the bear market, Multi Asset is likely to outperform the market.

Auto-correlation

    
  0.81  

Very good predictability

Multi Asset Growth Strategy has very good predictability. Overlapping area represents the amount of predictability between Multi Asset time series from 21st of November 2025 to 5th of January 2026 and 5th of January 2026 to 19th of February 2026. The more autocorrelation exist between current time interval and its lagged values, the more accurately you can make projection about the future pattern of Multi Asset Growth price movement. The serial correlation of 0.81 indicates that around 81.0% of current Multi Asset price fluctuation can be explain by its past prices.
Correlation Coefficient0.81
Spearman Rank Test0.72
Residual Average0.0
Price Variance0.01
In a nutshell, Beta is a measure of individual stock risk relative to the overall volatility of the stock market. and is calculated based on very sound finance theory - Capital Assets Pricing Model (CAPM).However, since Beta is calculated based on historical price movements it may not predict how a firm's stock is going to perform in the future.
Competition

In accordance with the recently published financial statements, Multi Asset Growth Strategy has a Beta of 0.0. This indicator is about the same for the Russell average (which is currently at 0.0) family and about the same as World Allocation (which currently averages 0.0) category. This indicator is about the same for all United States funds average (which is currently at 0.0).

Multi Financial Ratios Relationships

Comparative valuation techniques use various fundamental indicators to help in determining Multi Asset's current stock value. Our valuation model uses many indicators to compare Multi Asset value to that of its competitors to determine the firm's financial worth. You can analyze the relationship between different fundamental ratios across Multi Asset competition to find correlations between indicators driving Multi Asset's intrinsic value. More Info.
Multi Asset Growth Strategy is rated top fund in annual yield among similar funds. It also is rated top fund in year to date return among similar funds creating about  168.52  of Year To Date Return per Annual Yield. The reason why the comparable model can be used in almost all circumstances is due to the vast number of multiples that can be utilized, such as the price-to-earnings (P/E), price-to-book (P/B), price-to-sales (P/S), price-to-cash flow (P/CF), and many others. The P/E ratio is the most commonly used of these ratios because it focuses on the Multi Asset's earnings, one of the primary drivers of an investment's value.

Fund Asset Allocation for Multi Asset

The fund invests 52.58% of asset under management in tradable equity instruments, with the rest of investments concentrated in bonds (3.83%) , cash (20.0%) and various exotic instruments.
Asset allocation divides Multi Asset's investment portfolio among different asset categories to balance risk and reward by investing in a diversified mix of instruments that align with the investor's goals, risk tolerance, and time horizon. Mutual funds, which pool money from multiple investors for a diversified portfolio of securities, use asset allocation strategies to manage the risk and return of their portfolios.
Mutual funds allocate their assets by investing in a diversified portfolio of securities, such as stocks, bonds, cryptocurrencies and cash. The specific mix of these securities is determined by the fund's investment objective and strategy. For example, a stock mutual fund may invest primarily in equities, while a bond mutual fund may invest mainly in fixed-income securities. The fund's manager, responsible for making investment decisions, will manage securities in the fund's portfolio as market conditions and the fund's objectives change.

Multi Fundamentals

About Multi Asset Fundamental Analysis

The Macroaxis Fundamental Analysis modules help investors analyze Multi Asset Growth Strategy's financials across various querterly and yearly statements, indicators and fundamental ratios. We help investors to determine the real value of Multi Asset using virtually all public information available. We use both quantitative as well as qualitative analysis to arrive at the intrinsic value of Multi Asset Growth Strategy based on its fundamental data. In general, a quantitative approach, as applied to this mutual fund, focuses on analyzing financial statements comparatively, whereas a qaualitative method uses data that is important to a company's growth but cannot be measured and presented in a numerical way.
Please read more on our fundamental analysis page.

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Other Information on Investing in Multi Mutual Fund

Multi Asset financial ratios help investors to determine whether Multi Mutual Fund is cheap or expensive when compared to a particular measure, such as profits or enterprise value. In other words, they help investors to determine the cost of investment in Multi with respect to the benefits of owning Multi Asset security.
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