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HYPOTHETICAL PERFORMANCE RESULTS: The "timing scores" and "regime signals" displayed are based on quantitative models. Hypothetical or simulated performance results have certain inherent limitations. Unlike an actual performance record, simulated results do not represent actual trading. Also, since the trades have not actually been executed, the results may have under-or-over compensated for the impact, if any, of certain market factors, such as lack of liquidity.
RISK OF LOSS: Trading in financial markets involves a high degree of risk and may result in the loss of your entire investment. Data provided by third-party sources (Intrinio, Snowflake) is believed to be reliable but is not guaranteed for accuracy or completeness. Past performance is not indicative of future results.
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6 ENTITIES RANKED BY OUR QUANTITATIVE 5-FACTOR SCORING MODEL.
Our analysis of 6 Multi-Asset ETFs reveals an average composite score of 50.0/100, with a bull-to-bear ratio of 0:0 (0 ETFs rated Buy or Strong Buy). This asset class spans 6 categories, providing investors with multiple approaches to gain multi-asset exposure. Our 5-factor model evaluates each fund across cost efficiency, performance, momentum, liquidity, and tracking quality to identify the strongest opportunities.
#1 AOA (AOA) — Composite score: 50.0/100, rated Hold. AOA is a multi-asset aggressive ETF managed by Other with — in AUM and an expense ratio of —. Its strongest factor is Cost Efficiency at 50/100.
#2 AOM (AOM) — Composite score: 50.0/100, rated Hold. AOM is a multi-asset moderate ETF managed by Other with — in AUM and an expense ratio of —. Its strongest factor is Cost Efficiency at 50/100.
#3 AOR (AOR) — Composite score: 50.0/100, rated Hold. AOR is a multi-asset growth ETF managed by Other with — in AUM and an expense ratio of —. Its strongest factor is Cost Efficiency at 50/100.
| # | Ticker | Entity Name | Category | Score | Rating | Exp. Ratio | AUM | YTD |
|---|---|---|---|---|---|---|---|---|
| 1 | AOA | AOA | Multi-Asset Aggressive | 50.0 | — | — | +3.6% | |
| 2 | AOM | AOM | Multi-Asset Moderate | 50.0 | — | — | +2.0% | |
| 3 | AOR | AOR | Multi-Asset Growth | 50.0 | — | — | +2.8% | |
| 4 | AOK | AOK | Multi-Asset Conservative | 50.0 | — | — | +1.9% | |
| 5 | IYLD | IYLD | Multi-Asset Income | 50.0 | — | — | — | |
| 6 | GAL | GAL | Multi-Asset Global | 50.0 | — | — | +3.8% |
The top-rated Multi-Asset ETFs based on our model are AOA (AOA, Hold), AOM (AOM, Hold), AOR (AOR, Hold). These funds lead the multi-asset asset class across our five quantitative factors.
We currently rank 6 Multi-Asset ETFs spanning 6 categories. Each fund is scored on cost efficiency, performance, momentum, liquidity, and tracking quality.
The average composite score across all Multi-Asset ETFs is 50.0/100. Funds scoring above this average are relatively stronger within the asset class.
Multi-Asset ETFs in our database span categories including Multi-Asset Aggressive, Multi-Asset Moderate, Multi-Asset Growth, Multi-Asset Conservative, Multi-Asset Income, and 1 more. Each category represents a distinct investment approach within the broader multi-asset space.
We rank Multi-Asset ETFs using our 5-factor quantitative model. Currently, AOA (AOA) leads with a composite score of 50.0/100 and an expense ratio of —.
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