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목록bigdata (8)
DATAUNION
X axis : Stocks Price Correlation CoefficientY axis : Quantity of stocksMay-20161,000 Day Parameter2,830 NASDAQ Stocks Price AnalysisThis stock mode of correlation coefficient is -0.8In other words, the correlation coefficient of the other stocks is the many levels -0.8Kurtosis of the distribution of the correlation is -1.44, and skew is 0.04 Correlation Histogram Type Description Zero Correlati..
X axis : Stocks Price Correlation CoefficientY axis : Quantity of stocksMay-20161,000 Day Parameter2,830 NASDAQ Stocks Price AnalysisThis stock mode of correlation coefficient is 0.6In other words, the correlation coefficient of the other stocks is the many levels 0.6Kurtosis of the distribution of the correlation is -1.23, and skew is -0.09 Correlation Histogram Type Description Zero Correlatio..
X axis : Stocks Price Correlation CoefficientY axis : Number of stocksMAY-20161,000 Day Parameter2,830 NASDAQ Stocks Price AnalysisThis stock mode of correlation coefficient is 0.6.In other words, the correlation coefficient of the other stocks is the many levels 0.6.Kurtosis of the distribution of the correlation is -1.03, and skew is -0.37.The stock are to be concentrated in the correlation co..
X axis : Stocks Price Correlation CoefficientY axis : Number of stocksMAY-20161,000 Day Parameter2,830 NASDAQ Stocks Price AnalysisThis stock mode of correlation coefficient is 0.5.In other words, the correlation coefficient of the other stocks is the many levels 0.5.Kurtosis of the distribution of the correlation is -1.35, and skew is -0.19.The stock are to be concentrated in the correlation co..
AnalysisThis stock mode of correlation coefficient is 0.8.In other words, the correlation coefficient of the other stocks is the many levels 0.8.Kurtosis of the distribution of the correlation is -1.18, and skew is -0.47.The stock are to be concentrated in the correlation coefficient 0.8 and The high correlation holds many stocks.A correlation distribution belongs to B type. (Reference) Informat..
AnalysisThis stock mode of correlation coefficient is 0.9.In other words, the correlation coefficient of the other stocks is the many levels 0.9.Kurtosis of the distribution of the correlation is -1.42, and skew is -0.23.The stock are to be concentrated in the correlation coefficient 0.9 and The high correlation holds many stocks.A correlation distribution belongs to B type. (Reference) Informat..
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 -0.10, and skew is 0.74.The stock are to be concentrated in the correlation coefficient -0.4 and The low correlation holds many stocks.A correlation distribution belongs to zero type. (Reference) Info..
AnalysisThis stock mode of correlation coefficient is -0.8.In other words, the correlation coefficient of the other stocks is the many levels -0.8.Kurtosis of the distribution of the correlation is -1.28, and skew is 0.41.The stock are to be concentrated in the correlation coefficient -0.8 and The high correlation holds many stocks.A correlation distribution belongs to C type. (Reference) Inform..