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DATABASE20277

Apple - Google Pair Moving Correlation Distribution X axis : Date Y axis : Moving Correlation Coefficient Moving Correlation (Apple, Google, 200 Day) X axis : Moving Correlation CoefficientY axis : Number of DayMoving Correlation Distribution (Apple, Google, 200 Day) AnalysisApril 2005 to February 2014 correlation coefficient is 0.79.The moving correlation coefficient are to be concentrated in the correlation coefficient 0.7~0.9 and The high corr.. 2014. 2. 22.
Bitcoin Markets (mtgoxUSD) Correlation Distribution X axis : Stocks Price Correlation CoefficientY axis : Number of stocks02-18-20141000 Day ParameterBitcoin Price vs KOSPI & KOSDAQ AnalysisThis stock mode of correlation coefficient is -0.4.In other words, the correlation coefficient of the other stocks is the many levels -0.4.Kurtosis of the distribution of the correlation is -1.08, and skew is 0.18.The stock are to be concentrated in the correl.. 2014. 2. 19.
Pair Moving Correlation Distribution X axis : Stock(A), Stock(B) Pair Moving Correlation Coefficient Y axis : Number of Day Dec-31-2013 100 Day Parameter Analysis PMCB(Pair Moving Correlation Coefficient) is Stock A and Stock B assuming a pair, changes in the time to measure the distribution of correlation. When Stock A and Stock B as a pair , result of the mode it has 0.9 Correlation Coefficient, Pair Trading is suitable. X axis :.. 2014. 2. 13.
Correlation Histogram Type 1. What is the Correlation Histogram? It is a graph that shows the relationship between the observed stock and all the stocks belonging to the group and expresses it as a distribution chart.For example, the graph of the Correlation Histogram of Starbucks Corporation (NASDAQ: SBUX) is shown below.The X-axis (-1 ~ 1) is the correlation coefficient and the Y-axis lists the stocks of Starbucks Corpo.. 2014. 2. 10.
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