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DATAUNION
NEXT FUNDS インド株式指数・Nifty 50連動型 TOKYO $1678 Correlation Histogram 본문
NEXT FUNDS インド株式指数・Nifty 50連動型 TOKYO $1678 Correlation Histogram
DATAUNION 2017. 4. 5. 00:00
X axis : Stocks Price Correlation Coefficient
Y axis : Quantity of stocks
1,000 Day Parameter
2,926 TOKYO Stocks Price
1. Zero Correlation Histogram |
- The stock pair is concentrated in the correlation coefficient zero. |
- Case the diversification, Zero type will Overweight of the portfolio. |
- And, Zero type are often low volatility. |
2. Type A Correlation Histogram |
- The stock pair is concentrated in the plus high correlation coefficient and minus high correlation coefficient. |
- The A type will underweight of the portfolio. |
- This is not a normal distribution. |
3. Type B Correlation Histogram |
- The stock pair is concentrated in the plus high correlation coefficient. |
- The B type will underweight of the portfolio. |
- This is not a normal distribution. |
4. Type C Correlation Histogram |
- The stock pair is concentrated in the minus high correlation coefficient. |
- The C type will underweight of the portfolio. |
- This is not a normal distribution. |
Information is provided "as is" and solely for informational purposes, not for trading purposes or advice, and may be delayed.
Information provided by the investment decisions are not legally responsible for. In addition, the information posted can not be distributed without permission.
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