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KOSPI, KOSDAQ 2,000 Stocks Sharpe Ratio Distribution X axis : Sharpe RatioY axis : Number of stocksEnd Day : May-2014Time frame : Day Parameter : 1,000 Day KOSPI, KOSDAQ Stock Price AnalysisThis sharpe ratio mode of correlation coefficient is -0.01.Kurtosis of the distribution of the correlation is 43.85, and skew is 3.66.The sharpe ratio are to be concentrated in the correlation coefficient -0.01.High levels of stocks are Tiger 유동자금. 종목 Sharpe TI.. 2014. 5. 28.
Global Markets Moving Average Analysis Above : Number days of above 30 Moving Average (Percent)Below : Number days of below 30 Moving Average (Percent)10,000 Day Sample Global Markets Above Below DAX Index (Germany) 61.9% 38.1% KOSPI Composite Index (South Korea) 58.8% 41.2% Hang Seng Index (Hong Kong) 58.2% 41.8% Nikkei 225 Index (Japan) 52.5% 47.5% EUR/USD 51.2% 48.8% AUD/USD 55.4% 44.6% EUR/JPY 54.3% 45.7% CHF/JPY 55.0% 45.0% USD/.. 2014. 3. 29.
2013 Oct, 2013 Dec All Correlation Distribution X axis : Stocks Price Correlation CoefficientY axis : Number of stocks300 Day ParameterStocks Price vs KOSPI, KOSDAQ 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 permis.. 2014. 3. 15.
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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