Sentences with phrase «on the correlation of»

Under the influence of the recent varieties of liberation theologies we are learning to appreciate this way of theologizing, and some of the more creative work in the interpretation of Wesley and the Wesleyan tradition has drawn on correlations of theological method with the liberation theologians.
George Knight, in his discussion in Christianity Today on woman's place, finds 1 Corinthians 11:8 and 9 (woman was created «for man») to be of timeless significance.51 He bases his conclusion on a correlation of that text with Genesis 2:23, 24 and 1 Timothy 2:13.
The gas battery provided powerful evidence in favour of the theory Grove had developed regarding the inter-relationship of forces, which he described a few years later in his essay, On the Correlation of Physical Forces.
That paper «Climate Over Past Millennia» relies on the correlation of temperature with tree ring width as proved by other people / papers.
According to François Geré (2012), a terrorist movement can, depending on the correlation of forces, use simultaneously or separately terrorism, guerrilla and conventional military operations provided they have sufficient capacity.
When we select based on the correlation of a fund's value - add over the market with factor returns, we observe that the mutual funds with high correlations to the market and to the momentum factor are the worst performers in the list with average underperformance of − 0.4 % and − 2.1 % a year, respectively (− 0.4 % and − 1.4 % a year, respectively, for the second measure).
While she focused on the correlation of the color blue and empathy in 2015 and on the relationship between yellow and desire last year, this circle of work is based on the investigation of pink and how it's related to aggression.
That paper «Climate Over Past Millennia» relies on the correlation of temperature with tree ring width as proved by other people / papers.
His position: • No evidence of increasing lake clarity as a result of secchi measurements since 1946 • The interplay of stratification and plankton productivity are not «straightforward» • Challenges O'Reilly's assumption on the correlation of wind and productivity - the highest production is on the end of the lake with the lowest winds • A strong caution using diatoms as the productivity proxy (it is one of two different lake modes) • No ability to link climate change to productivity changes • More productivity from river than allowed for in Nature Geopscience article • Externally derived nutrients control productivity for a quarter of the year • Strong indications of overfishing • No evidence of a climate and fishery production link • The current productivity of the lake is within the expected range • Doesn't challenge recent temp increase but cites temperature records do not show a temperature rise in the last century • Phytoplankton chlorophylla seems to have not materially changed from the 1970s to 1990s • Disputes O'Reilly's and Verbug's claims of increased warming and decreased productivity • Rejects Verburgs contention that changes in phytoplankton biomass (biovolume), in dissolved silica and in transparency support the idea of declining productivity.
In 2009, the research of Sir Richard Gregory, let me to write a few papers on correlation of sunspot activity to Accumulated Cyclone Energy, etc and the coming droughts and colder winters.
There are some not - bonkers researchers working on correlations of length of day (LOD) anomalies with AMO, PDO and ENSO, but those arguments are backed by plausible physical explanations... and constrained by them.
Interpretation of the profiles is based on the correlations of the single items with each profile.

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.
PsyBlog quotes Peter K. Jonason, one of the researchers who documented the correlation, to explain the phenomenon: «Those who scored highly on the Dark Triad traits [narcissism, Machiavellianism, and psychopathy] are, like many other predators such as lions and scorpions, creatures of the night.
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.
While most research can only identify correlations, things that happy people have in common, we think that trying to do many of these things could have a significant effect on our own personal happiness levels.
We scored Trump and Clinton based on the performance of these indicators, awarding more points for stronger correlations to the candidates» actions.
Depending on the films and sets of messages included in the analysis, the correlation might look stronger or weaker.
This isn't the first time that there has been a correlation between Trump's statements and programming on cable news, of which he is a noted fan.
Until now opposition has been based on vague correlations, anecdotal evidence and hunches on the part of people opposed to the pressurized cracking of underground rock formations.
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.
They mismeasure, they discard inconvenient data, they assign correlation on the flimsiest of grounds.
The good news from credit conditions, hiring intentions and capital spending plans on the economy and likely earnings growth can provide upside appreciation potential while sentiment, intra-stock correlation and even valuation suggest concern... Overall, we can get to a 1,975 kind of outcome, but we may also see choppier markets and early indicators on volatility also intimate reasons to be worried.
Golub & Keane [16] analyzed 15,731 mini flash crashes from 2006 to 2011 and discovered that most mini flash crashes occur at the beginning and end of the trading day; that there is no correlation between sector and time of a mini flash crash; and that two - thirds of all mini flash crashes happen on the New York Stock Exchange (NYSE) and NASDAQ.
Most notably, a Wharton professor, Adam Grant, who in his own research has reported a lack of correlation between scores on tests of emotional intelligence and business results.
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.
As we entered into neutral mode on October 5, we began exiting all long positions in individual stocks and started focusing primarily on swing trading ETFs with a low correlation to the direction of the overall stock market (ie.
Overall, volatility and correlations between the majors remain relatively low, with most of the coins holding on to the key support zones that stopped last week's correction.
One last point — I am skeptical as to whether there is a very close correlation between rates of return on capital and the level of business investment.
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.
We focused on the two dominant macro factors — credit risk and interest rate risk — and how holding these factors together provided diversification benefits because of their historically low to negative correlation.
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.
Our clients view the success of our public relations programs by the correlation between media placements and a direct impact on their business.
Peter Bernstein, author of the fascinating book on risk Against the Gods has noted that historically, low dividend payouts have a striking correlation with low earnings growth over the following decade.
As our study has consistently shown over the past eight years, there is no long - term correlation between the amount of money a company spends on its innovation efforts and its overall financial performance; instead, what matters is how companies use that money and other resources, as well as the quality of their talent, processes, and decision making.
The U.K. Treasury's sponsored analysis of confidential tax records on tax - advantaged share schemes at over 16,000 U.K. firms reported that broad - based employee stock ownership was linked to improved value added and productivity with correlations consistent with those in many studies of smaller numbers of firms.
So far the lack of yield on gilts is more than made up for by the negative correlation with stocks on down days, but more curious how the long term total return compares.
She modifies this strategy to investigate correlation and volatility effects by: (1) measuring also during the selection phase return correlations and sum of volatilities based on daily closing prices for each possible stock pair; (2) allocating each pair to a correlation quintile (ranked fifth) and to a summed volatility quintile; and, (3) randomly selecting 20 twenty pairs out of each of the 25 intersections of correlation and summed volatility quintiles.
By now you'll no doubt see the obvious correlations between them all as well, and the really interesting thing about it all is that in each and every one of them, both the ones I have reported on here as well as others we are yet to review, the lessons we take from them are not to be found in academic institutions.
SMP's compensation committee uses EVA because «the principles of an EVA program have a better statistical correlation with the creation of value for stockholders than a cash incentive program based on performance measures.»
In their October 2012 paper entitled «Quantifying the Behavior of Stock Correlations Under Market Stress», Tobias Preis, Dror Kenett, Eugene Stanley, Dirk Helbing and Eshel Ben - Jacob relate average stock return correlations to stock market conditions with focus on dramatic maCorrelations Under Market Stress», Tobias Preis, Dror Kenett, Eugene Stanley, Dirk Helbing and Eshel Ben - Jacob relate average stock return correlations to stock market conditions with focus on dramatic macorrelations to stock market conditions with focus on dramatic market losses.
We focus on compound annual growth rate (CAGR), maximum drawdown (MaxDD) and correlation of returns with those of SPDR S&P 500 (SPY) as key performance statistics.
The correlation analysis approach is employed when a forex trader waits for the perfect moment when the crude oil graph exhibits a delayed response close to expiry, the investor would then execute the trade based on the direction of EURO / USD relative to the present price of oil.
But we'll focus most of this report on the implications, specifically: Not a fluke: Correlation lower at all levels The sharp drop in cross-asset correlation is nCorrelation lower at all levels The sharp drop in cross-asset correlation is ncorrelation is not a fluke.
We analyzed American Express as part of a case study on ROIC and its correlation to shareholder value creation.
Obviously your focus was on explicit protection, but there is an argument a well diversified portfolio can provide protection through correlation with the causes of inflation.
Our correlation indices (Exhibit 2) focus on the first two of these, while the last is an important addition.
This involves leveraging a portfolio of government bonds, equities, and other assets based on their historic volatilities and correlations.
The beta calculation, here performed by FactSet, is based on the correlation between a single stock and the index over the past three years, which is then squared and divided by the variance of the index.
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