Correlation measures how closely two assets' prices move together. A correlation of +1.0 means they move perfectly in sync, 0 means no relationship, and -1.0 means they move in opposite directions. Understanding correlation helps with portfolio diversification and risk management.
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| ALGO vs T: | 0.113 - Weak/No Correlation |
| Moved in same direction 184 days (58.0%) • Opposite direction 133 days • 319 data points | |
| ALGO vs MKR: | 0.081 - Weak/No Correlation |
| Moved in same direction 158 days (55.8%) • Opposite direction 125 days • 283 data points | |
| T vs MKR: | 0.455 - Moderate Positive |
| Moved in same direction 193 days (68.7%) • Opposite direction 88 days • 283 data points | |
Overall Statistics:
Average Correlation: 0.216
Highest Correlation: 0.455
Lowest Correlation: 0.081
Note: Correlation measures linear relationships in price movements. Low correlation between assets can be beneficial for diversification, as losses in one asset may be offset by gains in another.
This page focused on correlation between the selected assets. You might also want to check out the overview, comprehensive stats, historical, volatility, and price projection pages.
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