4min chapter

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Correlation, Crowding and Convexity

Alpha Exchange

CHAPTER

Analysis of Stock Correlation, Volatility, and Market Risk

This chapter explores the low correlation levels among S&P 500 stocks, focusing on Nvidia and Apple's negative 21% correlation and its effects on overall volatility. The discussion also highlights the risks and complexities associated with dispersion trades, particularly during market crises where historical examples like Amaranth and LTCM showcase the potential for spillover effects and increased volatility.

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