Gold tends to have low correlation with other financial assets and there is a credible argument that gold should have a permanent place in portfolios because of that diversification benefit.
You cannot expect a major journalistic enterprise to consider blogging to have any correlation with professional journalism.
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They have low correlation with other investments such as stocks and corporate bonds, so that helps diversify a portfolio and dampen volatility.
A. has been found to have little correlation with later business success.
This disposal process should in theory have no correlation with the Special Liquidator valuation and disposal process or indeed the Department of Finance.
The Daley administration has defended its promotion policy, offering statistical evidence that differences in scores within bands have no correlation with performance on the job.
The key takeaway is that middle class America is disgusted with the financial markets to the point where their expectations, for the first time in decades, have no correlation with the reality of the economic situation.
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Past stock returns have a high correlation with current advisor sentiment while current advisor sentiment has no value in forecasting future stock returns.
Proxy temperature reconstructions require careful scrutiny because the proxies are not direct temperature measurements, but represent other data and factors that may or may not have a close correlation with past temperatures.
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Every three months it assigns each company an accounting and governance risk score, or AGR, based on proprietary modeling designed to identify practices that historically have had a high correlation with increasing shareholder risk.
Though long-term Treasuries have historically had low correlation coefficients with large-cap stocks, intermediate-term Treasuries are even less correlated with large-cap stocks.
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The greatest correlation with inflation we have found is simply workforce growth.
Mr Haldane finds that both volatility and correlation between asset classes have increased in tandem with volume.
Small-cap stocks, for instance, have a long-term correlation of 0.72 with large-cap stocks, according to the Ibbotson SBBI 2011 Classic Yearbook.
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And with that, we have a direct correlation, if you will.
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First, we know that to reduce risk you need to combine assets that have a low positive correlation or, ideally, a negative correlation with other assets.
These folks may decide to include asset classes that have no real long-term return with the hope that low correlation with other investment will generate enough excess return from rebalancing to make up for the shortfall.
We have the ability to tilt the portfolio at times, having a portfolio with a very high correlation to traditional value investing, other times similar to now, a heavy leaning to growth at a reasonable price.
We have seen in the past how in a crisis all assets can end up with high level of correlation.
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Beginning with the Coleman Report in the mid-1960s, however, numerous studies have shown a correlation between SES and student achievement in the United States.
The beauty with these is they do have a tremendous amount of liquidity associated with them, which is different from a lot of other asset classes that do have low correlation to the broad equity market.
The results of the only large study to have hinted at a correlation have been discredited, because it allowed the women (rather than their doctors) to say what was wrong with themselves.
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