First, there is
a high correlation of dysfunctional childhood environment and ineffective parenting practices with early onset mental disorders.
The high correlation of EPDS scores with BDI scores (0.73) suggests that there may, in fact, be no need for a separate scale to assess postpartum depression.
Assuming
the high correlation of PDI and SST holds up, this suggests that current values are indeed unprecedented.
I supported the use of the data due to the very
high correlation of daily returns during the overlap period.
Though unconstrained bond funds do show periods of low, or at times negative, correlation to the U.S. Aggregate Bond Index, they also tend to demonstrate persistently
high correlation of above 0.50 to the Global Aggregate Bond Index, though only until 2014.
As has been said before it's rare for a guy of Landry's size to be as fast in short area drills as he is and there is
a high correlation of success there.
From a historical perspective, there appears to be no clear evidence as to why a negative start does not more strongly imply a negative year, compared with
the high correlation of a positive January translating to a positive year.
Canada and the UK have
a higher correlation of returns when compared with Australia.
So while low and negative interest rates across the globe has inspired flows into stocks, emerging market bonds and corporate credit in search of higher yields, keep in mind
the high correlations of these assets to oil prices and the advantages of holding actual diversifiers in your portfolio to smooth the ride.
A coherent scene structure was needed to achieve
the highest correlation of activity between viewers in parts of the brain involved in extracting meaning (The Journal of Neuroscience, vol 28, p 2539).
First, more closely related species have
higher correlations of proteome turnover kinetics.
This sector has historically performed well during rising rates cycles and has
the highest correlation of price performance to interest rates.
For further evidence on
the higher correlation of cold with sickness and death see the NIPCC 2009 report Chapter 9 Human Health Effects PDF (0.5 MB)
For newer products, eWOM is more influential have
a higher correlation of eWOM to sales than mature products.
Not exact matches
Earlier this year, for example, Judy Zaichkowsky
of Simon Fraser University's Beedie School
of Business published a study indicating that the presence
of just one woman on a company's board resulted in significantly
higher standards
of corporate governance (which has an established
correlation to better financial performance).
Based on our detailed analysis
of supply chain companies with historically
high correlations to iPhone unit sales, we revise our iPhone unit estimates [lower],» analyst Toni Sacconaghi wrote in a note to clients Thursday.
While these companies are unsurprisingly out
of favour with many investors — a lot simply won't buy these companies on moral grounds — they think the sector's
high yields, low
correlation with market cycles and steady earnings will make investors give them another look, and then stock prices will appreciate.
For example, Andrew Giambrone
of The Atlantic shared research from one group
of Austrian psychologists who reported «a
correlation between EI and narcissism, raising the possibility that narcissists with
high EI might use their «charming, interesting, and even seductive» qualities for «malicious purposes,» such as deceiving others.
Unsurprisingly, they found a strong
correlation between education and wealth: Wealthy cities tended to have at least one well - respected research university, along with a
higher percentage
of residents with bachelor's and graduate degrees.
He mentioned he had just read one
of my articles (one
of the first ones I had written for this column) and was fascinated by the
correlations I made between the culture
of the U.S. special - operations community and building
high - performance teams in the business world.
(Though there is a
high correlation with this basket
of goods and the study's cost -
of - living rankings, the items and prices listed are not the same as those used in the index.)
Looking at a simple asset allocation, a theoretical allocation to long - dated U.S. bonds (+20 years) fluctuates from as low as 3 % to as
high as 25 % based on changes to the risk model, i.e.
correlation of different asset classes.
«As the business cycle deepens and inflationary concerns push interest rates
higher, cross-asset
correlations with commodities decline and the diversification benefits
of owning commodities rises with
higher rates.»
It's a (mostly) short term,
higher risk,
higher reward place to invest cash that has a low
correlation with the stock market, but is far more passive than buying and managing properties, has more opportunity for diversification than private placements (minimums
of 5 - 10K, rather than 100K), and most
of the equity offerings (and all
of the debt offerings) provide monthly or quarterly incomes.
High - quality bonds protect investors during times
of market stress and deflation, providing a diversification benefit with little - to - no
correlation to stocks in the short - term.
When not removing any
of the major outliers hat skew the
correlations, ROE and P / B can have an extremely
high correlation.
They noted that emerging markets (EM) have the attractive qualities
of high average returns and low
correlation with developed markets (DM).
Doing this we found a
high correlation between the companies on our final list and those that received the
highest level
of opposition from shareholders voting on these pay packages at the annual meetings.
That is, there has been a reasonably
high correlation in the timing
of recessions and expansions among developed countries over the past few decades.
There is a
high degree
of correlation between markets in Australia and those overseas, particularly the US, with
correlations tending to increase over recent years (Table 3).
Although this has been leading to moderately bullish price action in select blue - chip stocks such as $ IBM, more explosive,
high - momentum moves have been coming from various commodity - based ETFs (which have a low
correlation to the direction
of the overall stock market).
High Frequency Cross-Market Activity in US Treasury Markets looks at the increased high - frequency correlation of trading activity across assets and trading platfo
High Frequency Cross-Market Activity in US Treasury Markets looks at the increased
high - frequency correlation of trading activity across assets and trading platfo
high - frequency
correlation of trading activity across assets and trading platforms.
From our perspective, picking the «right» stocks has the potential to contribute more to investment performance in environments
of low stock
correlations than
high correlation periods.
But no
higher as the increasing
correlation of assets begins to increase volatility at that point.
It has been found that generally speaking, there is a positive
correlation between the age
of an account and a
higher credit score.
While there is a strong
correlation between growth in gross domestic investment and growth in real GDP, the slope
of that relationship is only about 0.2, meaning that even if the growth rate
of real gross domestic investment was driven from the recent growth trend
of zero all the way back to the previous post-war growth rate
of 3.5 %, the overall impact on real GDP growth would only be about 0.7 % annually, placing the level
of U.S. real GDP about 2.8 %
higher 4 years from today than it would otherwise be.
If the E-mini S&P futures contract price is being manipulated, then maybe other markets around the globe are also being manipulated because
of the
high correlations that technology has brought to the market.
Both the Wilshire 5000 Index and the Russell 3000 Index cover a broad range
of stocks but both are either mostly or completely comprised
of large capitalization stocks, which makes them have a
high correlation (R - squared) to the S&P 500 Index.
In 2013, research firm McKinsey found a strong
correlation between
high cash usage and the size
of a country's shadow economy.
Considering the
high correlation between green bonds and core fixed income, investors have the possibility to reallocate part
of their core fixed income allocation to green bonds in order to increase diversification and «green» their portfolio with a minimal impact on the risk / return profile
of their portfolio.
Those familiar with the geographics
of the US electoral college will immediately recognize that there is a
high correlation between the steel producers and the «swing states» which most often determine the outcome
of the American elections.
As you can see, we get a list
of related keywords with a
correlation number: in this case, «fit jeans» has the
highest correlation to «jeans».
There should be, if you are right, an inverse
correlation between domestic interest rates and the size
of a country's current account deficit: the larger a country's current account deficit, the lower its domestic interest rates should be, and the larger the current surplus, the
higher its domestic interest rates should be.
Whelan: The financial case for sustainability is the
high correlation between good environmental and social governance performance in a company and good stock performance, lower cost
of capital and better operational performance.
There was a weaker
correlation between the ability to trade (daily trading volume, issue size and frequency
of zero - trading days) and credit spreads for both investment - grade and
high - yield markets.
For example, if you have
higher - than - average CTRs, you'll have a tendency to move
higher in rankings; still, this is hard to measure because
of the
correlation between ranking and CTRs.
The lack
of liquidity and
higher leveraging
of investments via crowdfunding platforms relative to REITs makes them much riskier, yet their incrementally
higher promised returns and incrementally lower implied
correlations with other asset classes don't seem to compensate for the added downsides.
Might be another option for real estate diversification without the
high commissions / fees
of traditional non-traded REITs or market
correlation of publicly traded REITs.
Correlation does not equal causation, as they say, and there are a number
of factors that can drive
higher average unit volumes, such as having a drive - through, a broader menu, and more marketing spending, but the numbers above do seem to favor the fresh - beef chains.
Correlations between Quality and Growth factors are currently elevated Value is more negatively correlated than usual to Quality, Growth and Low Volatility Monitoring correlations is important for maximising diversification benefits INTRODUCTION The rise of ETFs is often associated with
Correlations between Quality and Growth factors are currently elevated Value is more negatively correlated than usual to Quality, Growth and Low Volatility Monitoring
correlations is important for maximising diversification benefits INTRODUCTION The rise of ETFs is often associated with
correlations is important for maximising diversification benefits INTRODUCTION The rise
of ETFs is often associated with
higher stock