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Sortino ratio is not yet available for ASET. This metric requires at least 12 months of historical daily returns to calculate. Check back once this data is available.

How it compares to other similar ETFs

The table compares FlexShares Real Assets Allocation Index Fund's Sortino Ratio with other ETFs in the Diversified Portfolio category across multiple time periods, showing how ASET's risk-adjusted performance compares to similar funds.

Data shows 1-, 5-, and 10-year periods, plus each fund's all-time average, as of Jun 3, 2026.


SymbolName1Y Sortino Ratio5Y Sortino Ratio10Y Sortino RatioAll Time Sortino Ratio
INCMFranklin Income Focus ETF4.78
NTSEWisdomTree Emerging Markets Efficient Core Fund4.21
DRAIDraco Evolution AI ETF4.14
AVMAAvantis Moderate Allocation ETF4.00
FTBIFirst Trust Balanced Income ETF3.88
IYLDiShares Morningstar Multi-Asset Income ETF3.76
GAACambria Global Asset Allocation ETF3.76
RAASMI 3Fourteen REAL Asset Allocation ETF3.70
CLSMCabana Target Leading Sector Moderate ETF3.68
DDXDefined Duration 10 ETF3.59
ASETFlexShares Real Assets Allocation Index Fund

S&P 500 Index

How to choose period

Historical Sortino Ratio

The chart shows ASET's rolling Sortino ratio over time compared to your chosen benchmark. Rising trends indicate improving returns relative to downside risk, while declining trends may signal deteriorating risk-adjusted performance or increased volatility during market stress. Use multiple timeframes to distinguish short-term fluctuations from long-term patterns.

Identify market cycles by observing when ASET consistently outperforms (line above benchmark), underperforms (below benchmark), or aligns with the benchmark.


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