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Recap on Correlation

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Options involve risk and are not suitable for all investors. Please read Characteristics and Risks of Standardized Options before deciding to invest in options.

Correlation is a simple way to check whether two assets are diversified. When correlation is near-zero, then we can say the assets are diversified.

During selloffs, you want as much diversification and risk reduction as possible, and broader asset ETFs are much better at that than diversifying via different stocks.

A new asset will soon be available to trade on tastyworks, and in today’s Market Measures, we will be discussing its diversification power.

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