AQR Capital Management Stocks: Correlate Returns to S&P 500 to The Cigna Group (CI)

Correlate Returns of S&P 500 to The Cigna Group (CI)

S&P 500 prices are represented by SPDR® S&P 500® ETF (SPY) prices.

Prices for SPY and the designated stock are monthly closes adjusted for splits and dividends from Alpha Vantage.

Stock Correlation Calculator
Stock 1SPY
Stock 2CI
Start Date2015-07-31
End Date2025-07-16
# Prices121
Correlation Coefficient0.9036


Table of Contents  
CI Performance Table and Chart

CI Dividend Chart

CI Dollar-cost Average

CI Compare Returns with S&P 500

CI Trendline Chart

CI Moving Average Chart

CI Stock Return Map - See Patterns of Gains and Losses

CI Stock Returns/Purchase Dates