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Cross-Asset Correlation Matrix
Based on analyst research · 12-month rolling window · Geopolitical stress periods
CORRELATION STRENGTH
Strong Positive (0.7–1.0)
Moderate Positive (0.4–0.7)
Neutral (−0.4–0.4)
Moderate Negative (−0.7–−0.4)
Strong Negative (−1.0–−0.7)
⚠ Correlations reflect geopolitical stress periods. Normal market conditions may differ. Not investment advice.
KEY INSIGHTS
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