FT MarketWatch

Correlation

A statistical measure, ranging from -1 to +1, of how closely two variables move together — for example, two stocks or asset classes. A correlation of +1 means they move in perfect lockstep; -1 means they move in exact opposite directions; 0 means no relationship. Combining assets with low or negative correlation is a core principle of diversification, since it can reduce overall portfolio volatility.

Browse more