📊 Asset Correlations

SK Hynix vs Nvidia

SK Hynix · Nvidia — 1-year correlation swings -0.20 to +0.82

-1.0-0.50+0.5+1.02017201820192020202120222023202420252026+0.82-0.20
1-year rolling correlation · green together, red apartas of 2026-09-11

The sign flips with the era

The one-year correlation swings from -0.20 to +0.82. Green is the stretches they moved together, red the stretches they moved apart.

So a single long-run average describes this pair badly. Which regime you are in right now matters more than the average.

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Open with SK Hynix · Nvidia

Weekly returns, 609 weeks since 2015, every price converted to USD. “Crashes” means the 5% of weeks SK Hynix fell hardest. One sample, one window — not a promise about the future.

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