BuzzFeed Sortino Ratio

BZFD Stock  USD 0.74  0.03  4.23%   
The Sortino Ratio measures risk-adjusted return using only downside deviation rather than total volatility. Unlike the Sharpe Ratio, which penalizes both upside and downside volatility equally, the Sortino Ratio penalizes only returns below a target threshold, making it a more targeted measure of harmful volatility. Below is BuzzFeed's current Sortino Ratio with peer comparisons and related risk metrics.

Current Sortino Ratio Value

BuzzFeed carries a Sortino Ratio of 0, consistent with its current reading on this measure. This reflects BuzzFeed's positioning relative to its own recent range within Interactive Media & Services.

Sortino Ratio

 = 

ER[a] - ER[b]

DD

 = 
0
ER[a] = Expected return on investing in BuzzFeed
ER[b] = Expected return on market index or selected benchmark
DD = Downside Deviation

Sortino Ratio Peers Comparison

Sortino Ratio Relative To Other Indicators

The chart below plots Sortino Ratio against Maximum Drawdown for BuzzFeed and its peers. Each point represents one equity — position along the horizontal axis shows Sortino Ratio while the vertical axis shows Maximum Drawdown. Equities that cluster in different quadrants carry distinct risk-return profiles. Use the dropdowns to swap in other indicators for either axis.
Compare BuzzFeed to Peers

Methodology, Assumptions & Data Sources

BuzzFeed's Sortino Ratio currently stands at 0. BuzzFeed's Sortino Ratio is computed from historical closing prices over the selected time horizon, applying the indicator's defined mathematical transformation to raw price data. Price data is sourced from standardized end-of-day feeds across supported exchanges, normalized for corporate actions. BuzzFeed operates in the communication services sector, which may exhibit distinct volatility and momentum characteristics relative to the broader market. Results are based on historical returns and do not predict future performance. This indicator is provided for informational purposes.

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