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Data Aspect

Data Aspect

Quantitative Analysis + Insights
MacroMicro selects and calculates the correlation between economic data and commidities

Most popular

US Stock USD Crude Oil US Bond EUD USD/NTD TWSE AUD Iron Ore Global Materials EM Stock Nikkei 225 UK FTSE 100 Russia RTS Index India Sensex Brazil Stock Europe Index
US Bond
Macro
  • 20Y
Positive Correlation
10-year Yield Spread Between Japan and US
US 30-Year Fixed Rate Mortgage Average
US 10 Year TIPS Yield Rate
10-year Yield Spread Between Germany and US
S&P 500 Cyclically Adjusted Price-Earnings Ratio
Worldwide Semiconductor Billings
Americas Semiconductor Billings
mm-eur-index
US San Francisco Tech Pulse
Europe Semiconductor Billings
Negative Correlation
10-year Yield Spread Between China and US
S&P 500 Dividend Yield
US Credit Spread
US M2 Stock
Global Financial Stress Index (OFR)
US Financial Stress Index (OFR)
SPDR Gold Trust ETF (Total Gold, Tonnes)
MM US Treasury Bond Index
Cushing Crude Oil Inventory
MM DXY Index
US Ratio of Manufacturers' Total Inventories to Shipments for Durable Goods Industries: Primary Metals
Market
  • 20Y
Positive Correlation
US 10 Year Bond Yield Rate
US - 30 Year Bond Yield
Hong Kong - 10-Year Government Bond Yield
Hong Kong - 7-Year Government Bond Yield
Canada -10-Year Government Bond Yield
Negative Correlation
iShares 7-10 Year Treasury Bond ETF
US 30 Year Note Futures Price
iShares 20+ Year Treasury Bond ETF (TLT)
iShares Core U.S. Aggregate Bond ETF (AGG)
iShares 1-3 Year Treasury Bond ETF (SHY)

MacroMicro’s built-in computing system screens data that showcase a strong positive/negative correlation with asset prices. Our analysts then select the most relevant to the market conditions and offer you the results to power your investment decisions.

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