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30 Days Moving Correlation Matrix

       
Number of assets for correlation table Specify up to 15 valid comma-separated symbols having historical data Generate output as
       

       

Correlation Matchups

How to use this Correlation Matrix? 
    
High positive correlations
EL  + 0.97  CL
IPAR  + 0.95  RDEN
EL  + 0.93  AVP
EL  + 0.93  RDEN
CL  + 0.92  AVP
IPAR  + 0.92  AVP
IPAR  + 0.92  EL
IPAR  + 0.91  ACV
RDEN  + 0.91  CL
ENR  + 0.91  CL
IPAR  + 0.91  CL
RDEN  + 0.9  ACV
RDEN  + 0.9  AVP
RDEN  + 0.89  BTH
Recommended Pairs
BRCI  - 0.0  ACV
BRCI  - 0.0  AVP
BRCI  - 0.0  BTH
CAW  - 0.0  BRCI
CGDI  - 0.0  BRCI
CL  - 0.0  BRCI
RDEN  - 0.0  BRCI
IPAR  + 0.0  BRCI
EROX  + 0.0  BRCI
FHCO  + 0.0  BRCI
EL  + 0.0  BRCI
ENR  + 0.0  BRCI
RDEN  + 0.0  BRCI
CL  + 0.0  BRCI
High negative correlations
ENR  - 0.88  CGDI
EL  - 0.8  CGDI
CL  - 0.8  CGDI
RDEN  - 0.68  CGDI
CGDI  - 0.68  AVP
CGDI  - 0.66  BTH
IPAR  - 0.64  CGDI
FHCO  - 0.59  CGDI
EROX  - 0.52  ACV
IPAR  - 0.49  EROX
EROX  - 0.45  RDEN
EROX  - 0.43  CL
EROX  - 0.43  AVP
CGDI  - 0.43  ACV
    
       

Why correlation coefficient is important?

An investor can reduce portfolio risk simply by holding instruments which are not perfectly correlated. In other words, investors can reduce their exposure to individual asset risk by holding a diversified portfolio of assets. Diversification will allow for the same portfolio return with reduced risk. If all the assets of a portfolio have a correlation of 1, i.e., perfect correlation, the portfolio volatility (standard deviation) will be equal to the weighted sum of the individual asset volatilities. Hence the portfolio variance will be equal to the square of the total weighted sum of the individual asset volatilities. If all the assets have a correlation of 0, i.e., perfectly uncorrelated, the portfolio variance is the sum of the individual asset weights squared times the individual asset variance (and volatility is the square root of this sum). If correlation is less than zero, i.e., the assets are inversely correlated, the portfolio variance and hence volatility will be less than if the correlation is 0. Learn more...

About correlation table

Correlation table is a two-dimensional matrix that shows correlation coefficient between pairs of securities. The cells in the table are color-coded to highlight significantly positive and negative relationships.

About correlation cloud

Correlation cloud is a flat representation of correlation coefficients between pairs of securities. The links in the cloud are color-coded to highlight significantly positive and negative relationships.
    
    
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21994  global portfolios
    
    

Sharpe Ratios

   
 Macroaxis: United States Alberto-Culv 0.06 Price Moved Down
   
 Macroaxis: United States Avon 0.38 Price Moved Up
   
 Macroaxis: United States Blyth 0.33 Price Moved Up
   
 Macroaxis: United States Brampton 0.21 Price Moved Up
   
 Macroaxis: United States CCA Industri 0.30 Price Moved Down
   
 Macroaxis: United States China 0.20 Price Moved Down
   
 Macroaxis: United States Colgate-Palm 0.36 Price Moved Up
   
 Macroaxis: United States Elizabeth 0.07 Price Moved Up
   
 Macroaxis: United States Energizer 0.49 Price Moved Up
   
 Macroaxis: United States Estee 0.36 Price Moved Up
   
 Macroaxis: United States Female 0.44 Price Moved Up
   
 Macroaxis: United States Fountain 0.00 Price Moved None
   
 Macroaxis: United States Human 0.21 Price Moved Down
   
 Macroaxis: United States Hydron 0.00 Price Moved None
   
 Macroaxis: United States Inter 0.28 Price Moved Up
    
        
       

Top Performers

1
 Investortest  76 
2
 InvestorPrasanna18132  69 
3
 InvestorFacebook26877  63 
4
 Investoralfred27778  61 
5
 InvestorJoe22455  58 

Top Owned Stocks

 1 
 Macroaxis: United StatesGE  342 
 2 
 Macroaxis: United StatesAAPL  314 
 3 
 Macroaxis: United StatesGOOG  298 
 4 
 Macroaxis: United StatesMSFT  247 
 5 
 Macroaxis: United States 243 

Top Owned ETFs

 1 
 Macroaxis: United StatesSPY  200 
 2 
 Macroaxis: United StatesGLD  187 
 3 
 Macroaxis: United StatesEEM  183 
 4 
 Macroaxis: United StatesEFA  167 
 5 
 Macroaxis: United StatesTIP  151 

Top Owned Funds

 1 
 Macroaxis: United StatesDODFX  88 
 2 
 Macroaxis: United StatesVFINX  87 
 3 
 Macroaxis: United StatesFCNTX  84 
 4 
 Macroaxis: United StatesVGTSX  80 
 5 
 Macroaxis: United StatesVTSMX  76 

Top Advisors

 1 
 Shepherd Kaplan  
 2 
 Hilltop Advisor  
 3 
 Vest Assured I  
 4 
 Hudson Fairfax   
 5 
 Financial Manag