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Asset Correlation Heatmap [SeerQuant]

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Asset Correlation Heatmap [SeerQuant]

Overview:
The Asset Correlation Heatmap is a powerful visualization tool designed to analyze and compare the correlation between multiple assets and a selected benchmark. The indicator provides a heatmap representation of correlation coefficients, allowing for easy identification of highly correlated and uncorrelated assets at a glance.

How It Works:
  • Benchmark Asset: The benchmark is the chart that the indicator is applied to. For example, if applied to BTC, the heatmap will display the correlation of various assets relative to BTC.
  • Correlation Calculation: The script calculates the correlation coefficient between the benchmark asset and each of the 30 user-selected assets over a user-defined period.
  • Heatmap Display: The results are plotted in a stacked format where the bottom-most plot represents Asset 1, and the top-most plot represents Asset 30.
  • Each asset’s correlation is color-coded based on its strength (from positive correlation to negative correlation).


Inputs & Customization:
  • Correlation Length: Users can adjust the lookback period for correlation calculation (default: 20 periods).
  • 30 Selectable Assets: The indicator allows users to input up to 30 assets for correlation analysis.
  • Color Gradient: The heatmap dynamically assigns colors based on correlation strength where blue shades → strong positive correlation, neutral white → no correlation (~0.0) and red shades → strong negative correlation.


Table Display
A dynamic table in the bottom-right corner provides key insights, including:

  • Benchmark Asset (the chart symbol)
  • Highest Correlated Asset & its correlation value
  • Lowest Correlated Asset & its correlation value
  • Average & Median Correlation across all selected assets
  • Composite Signal based on the overall correlation trend


Use Cases
  • Portfolio Diversification: Identify assets that are highly correlated or negatively correlated with your benchmark to manage risk.
  • Mean Reversion & Trend Following: Spot assets diverging from their historical correlation to identify trading opportunities.
  • Pair Trading: Find assets with strong positive or negative correlation to develop hedging strategies.


Enjoy!

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