FlexShares Ready Potential Upside

RAVI ETF  USD 75.27  0.05  0.07%   
Potential Upside is the amount of upward price movement an investor or an analyst expects of a particular equity instrument. Below is FlexShares Ready's current Potential Upside with peer comparisons and related risk metrics.

Current Potential Upside Value

With Potential Upside at 0.0534, FlexShares Ready shows modest estimated upside from current levels. FlexShares Ready trades near but slightly below the model-derived fair value estimate.

Potential Upside

 = 

1PM

2PM

 = 
0.0534
1PM = First upper moment
2PM = Second upper moment

Potential Upside Peers Comparison

FlexShares Ready's Potential Upside of 0.0534 falls below the 1.25 peer average. Values range from 0.1381 (VictoryShares USAA Core) to 3.12 (SPDR Morgan Stanley), with wide dispersion across the group. FlexShares Ready shows less estimated upside from current levels than the peer average.

Potential Upside Relative To Other Indicators

The chart below plots Potential Upside against Maximum Drawdown for FlexShares Ready and its peers. Each point represents one equity — position along the horizontal axis shows Potential Upside 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.
At 0.05 for Potential Upside and 0.12 for Maximum Drawdown, FlexShares Ready's cross-indicator ratio sits almost 2.25 . This indicates Maximum Drawdown is significantly higher than Potential Upside for FlexShares Ready.
Compare FlexShares Ready to Peers

Methodology, Assumptions & Data Sources

The current Potential Upside for FlexShares Ready is 0.0534. This Potential Upside reading for FlexShares Ready results from applying the indicator's calculation rules to price and volume data over the selected window. All inputs are based on exchange-reported closing prices, with adjustments for stock splits, dividends, and other corporate actions. Indicator accuracy depends on data continuity across the calculation period. Gaps in trading history may affect the output.

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