NASA vs. MRVL
NASA (Tema Space Innovators ETF) is Aerospace & Defense fund actively managed by Tema, while MRVL (Marvell Technology, Inc.) is a stock. At a 0.46 correlation, their price movements are largely independent.
Performance
NASA vs. MRVL - Performance Comparison
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Returns By Period
NASA
- 1D
- 1.72%
- 1M
- -5.88%
- YTD
- —
- 6M
- —
- 1Y
- —
- 3Y*
- —
- 5Y*
- —
- 10Y*
- —
MRVL
- 1D
- 10.43%
- 1M
- 74.62%
- YTD
- 263.92%
- 6M
- 267.03%
- 1Y
- 360.95%
- 3Y*
- 72.18%
- 5Y*
- 42.23%
- 10Y*
- 41.93%
NASA vs. MRVL - Yearly Performance Comparison
| 2026 (YTD) | |
|---|---|
NASA Tema Space Innovators ETF | 34.77% |
MRVL Marvell Technology, Inc. | 251.94% |
Correlation
The correlation between NASA and MRVL is 0.46, which is low. Their price movements are largely independent, making them effective diversification partners.
| Correlation | |
|---|---|
Correlation (All Time) Calculated using the full available price history since Mar 31, 2026 | 0.46 |
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Return for Risk
NASA vs. MRVL — Risk / Return Rank
NASA
Risk / return metrics aren't available yet — we need at least 12 months of trading data to calculate them.
MRVL
NASA vs. MRVL - Risk-Adjusted Trends Comparison
This table presents a comparison of risk-adjusted performance metrics for Tema Space Innovators ETF (NASA) and Marvell Technology, Inc. (MRVL). Risk-adjusted metrics are performance indicators that assess an investment's returns in relation to its risk, enabling a more accurate comparison of different investment options.
Values are calculated on a 1-year rolling basis and updated daily. Risk-adjusted metrics are more stable over longer periods — use the period switch above to explore them.
| NASA | MRVL | Difference | |
|---|---|---|---|
| Sharpe ratioReturn per unit of total volatility | — | — | |
| Sortino ratioReturn per unit of downside risk | — | — | |
| Omega ratioGain probability vs. loss probability | — | 1.61 | — |
| Calmar ratioReturn relative to maximum drawdown | — | 13.80 | — |
| Martin ratioReturn relative to average drawdown | — | 31.51 | — |
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Drawdowns
NASA vs. MRVL - Drawdown Comparison
The maximum NASA drawdown since its inception was -25.42%, smaller than the maximum MRVL drawdown of -91.60%. Use the drawdown chart below to compare losses from any high point for NASA and MRVL.
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Drawdown Indicators
| NASA | MRVL | Difference | |
|---|---|---|---|
Max DrawdownLargest peak-to-trough decline | -25.42% | -91.60% | +66.18% |
Max Drawdown (1Y)Largest decline over 1 year | — | -26.36% | — |
Max Drawdown (3Y)Largest decline over 3 years | — | -60.79% | — |
Max Drawdown (5Y)Largest decline over 5 years | — | -61.88% | — |
Max Drawdown (10Y)Largest decline over 10 years | — | -61.88% | — |
Current DrawdownCurrent decline from peak | -22.46% | -2.39% | -20.07% |
Average DrawdownAverage peak-to-trough decline | -5.71% | -46.73% | +41.02% |
Ulcer IndexDepth and duration of drawdowns from previous peaks | — | 11.52% | — |
Volatility
NASA vs. MRVL - Volatility Comparison
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Volatility by Period
| NASA | MRVL | Difference | |
|---|---|---|---|
Volatility (1M)Calculated over the trailing 1-month period | — | 41.35% | — |
Volatility (6M)Calculated over the trailing 6-month period | — | 55.98% | — |
Volatility (1Y)Calculated over the trailing 1-year period | 68.70% | 71.61% | -2.91% |
Volatility (5Y)Calculated over the trailing 5-year period, annualized | 68.70% | 62.00% | +6.70% |
Volatility (10Y)Calculated over the trailing 10-year period, annualized | 68.70% | 52.05% | +16.65% |
Dividends
NASA vs. MRVL - Dividend Comparison
NASA has not paid dividends to shareholders, while MRVL's dividend yield for the trailing twelve months is around 0.08%.
| Position | TTM | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
MRVL Marvell Technology, Inc. | 0.08% | 0.28% | 0.22% | 0.40% | 0.65% | 0.21% | 0.50% | 0.90% | 1.48% | 1.12% | 1.73% | 2.72% |
NASA Tema Space Innovators ETF | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% | 0.00% |
Frequently Asked Questions
NASA and MRVL have a correlation of 0.46, meaning they provide meaningful diversification benefit when combined. Depending on your allocation goals, holding both could reduce overall portfolio risk.
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