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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.
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The underlying Solactive Global Oil Equities Index tracks the performance of 25 equal-weighted companies that have shown a high correlation to the spot price of oil.
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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.
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Economists, in fact, have found that there is frequently a correlation between persistently high local unemployment rates and high levels of homeownership.
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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.
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We have seen in the past how in a crisis all assets can end up with high level of correlation.
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