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Correlation 2.2

Metatrader 技术指标 (MT4/MT5)

  • 概述

    In the world of finance, correlation is a statistical measure of how two securities move in relation to each other. Correlations are used in advanced portfolio management. This indicator measures how different securities move in relation to a reference one, thus making portfolio management easier.

    • Avoid concurrent trades in highly correlated instruments
    • Find trading opportunities among highly correlated instruments
    • Correlation is positive when two securities rise in price together
    • Correlation is negative when one security increases and the other decreases

    The correlation between two securities is measured by a correlation coefficient.

    • A coefficient of zero is neutral correlation
    • A coefficient of 0.3 is low positive correlation
    • A coefficient over 0.8 is high positive correlation
    • A coefficient of -0.3 is low negative correlation
    • A coefficient over -0.8 is high negative correlation

    The correlation is calculated against the native symbol of the chart, and the symbols to evaluate are entered as parameters.

  • 输入参数

    将专家加载到任何图表时,您将收到一组选项作为输入参数。不要绝望,如果你认为他们是太多,因为参数被归类成不言自明的块。

    Max History Bars
    Amunt of bars to evaluate to the past upon loading.
    Correlation Period
    Amount of bars to use to calculate the correlation.
    1st Symbol to 8th Symbol
    Enter the symbols to calculate the correlation.
  • ? 常见问题
    Does the indicator repaint?
    No, the indicator does not repaint.
    Can I choose period and timeframe to apply?
    Yes, you can!
  • 评论

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截图

Correlation Indicator for Metatrader