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US Market Open: May 24, 13:41 PM 2012  
CENX MIPS HA SNY BMY KMP 
 
 
  NYSE  7,526  15.146  Index Moved Down 



Processing
Collecting data for ^NYA and PSDV ...

Asset Comparison and Correlation

    
       
Investment horizon: 
30 Days (Login to change)
       
 
    
 NYSE  and   pSivida Corp.
Check Correlation Matrix  
Daily Returns (%)
NYA  PSDV  
Timeline
Given investment horizon of 30 days, NYSE is expected to generate 0.29 times more return on investment than pSivida. However, NYSE is 3.43 times less risky than pSivida. It trades about -0.32 of its potential returns per unit of risk. pSivida Corporation is currently generating about -0.28 per unit of risk. If you would invest 807,079 in NYSE on April 24, 2012 and sell it today you would lose (52,989) from holding NYSE or give up 6.57% of portfolio value over 30 days.

Diversification

Weak diversification
Overlapping area represents amount of risk that can be diversified away by holding NYSE and pSivida Corp. in the same portfolio (assuming nothing else is changed)

Correlation Coefficient

0.34
 Parameters
Time Period1 Month [change]
DirectionPositive PSDV Moved Up vs ^NYA
StrengthVery Weak
Accuracy100.0%
ValuesDaily Returns
    
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Predicted Return Density
Expected Daily Returns   
NYA  PSDV  

NYSE

 
    
    
NYSE
Performance
0
Out Of
100
Over 30
Days
Over the last 30 days NYSE has generated negative risk-adjusted returns adding no value to investors with long positions.
    
    
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pSivida Corporation

 
    
    
pSivida
Performance
0
Out Of
100
Over 30
Days
Over the last 30 days pSivida Corporation has generated negative risk-adjusted returns adding no value to investors with long positions.
    
    
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