X axis : Stocks Price Correlation Coefficient

Y axis : Number of stocks


1000 Day Parameter

Stocks Price vs KOSPI, KOSDAQ


This stock mode of correlation coefficient is -0.1.

In other words, the correlation coefficient of the other stocks is the many levels -0.1.

Kurtosis of the distribution of the correlation is 5.75, and skew is 1.51.

The stock are to be concentrated in the correlation coefficient -0.1 and The low correlation holds many stocks.

A correlation distribution belongs to Zero type. (Reference)

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