FinanceTrainingCourse.com

FinanceTrainingCourse.com

ALM, Treasury Risk, Options Pricing, Simulation Models – Training, Study Guides, EXCEL Templates

Primary Menu
  • Home
  • How-to Tutorials
  • Courses
  • Case Studies
  • Editors ChoiceOur favorite pieces. Penned over the years by different authors. Take a look
  • Archives
  • Store
  • LinkedIn
  • Facbook
  • Twitter
Skip to content
Computational Finance Portfolio Management

Correlation – Trailing Correlations

April 16, 2011October 1, 20191 Comment

< 1 min read Earlier in our post on Correlation Coefficients, we had stated […]

Computational Finance Portfolio Management

Correlation – Correlation coefficient, r

April 16, 2011October 1, 2019

3 mins read time The correlation coefficient is a measure of the strength and direction […]

Computational Finance Portfolio Management

Correlation – Scatter Plots

April 16, 2011October 1, 20192 Comments

2 mins read time A scatter plot is a visual representation of the correlation […]

Correlation Analysis - plotting data in EXCEL
Computational Finance Portfolio Management

Correlation Analysis – plotting data in EXCEL

April 16, 2011December 2, 2019

3 mins read time We take a quick look at plotting data and price […]

cor1
Computational Finance Portfolio Management

Correlation – Introduction

April 16, 2011October 1, 20192 Comments

2 mins read time Correlation is a term used to define the relationship between […]

About Us

  • About
  • About Jawwad
  • Contact us
  • T & Cs

Support

  • F.A.Q.
  • Sitemap
  • Book Buyers
  • Privacy Policy

Follow Us

  • LinkedIn
  • Facbook
  • Twitter
© 2020 Financetrainingcourse.com | All Rights Reserved.

Add FinanceTrainingCourse.com to your Homescreen!

OK