Correlated ETF funds
In this coding exercise, you will explore the relationship between two popular ETF funds, the SPDR S&P 500 (SPY) and Invesco QQQ, by creating a scatter plot that displays the correlation between their traded volumes. So, let's begin!
Two DataFrames named spy
and qqq
, which hold the historical prices of said funds, have been loaded for you. The DataFrames
and Plots
packages have been imported and are available for use.
Diese Übung ist Teil des Kurses
Introduction to Data Visualization with Julia
Anleitung zur Übung
- Generate a scatter plot representing the trading
volume
of SPY on the x-axis and that of QQQ on the y-axis, using ablack
regression line withlinewidth
set to2.5
andmarkercolor
set topink
; hide the legend. - Add the title
"Correlation Between SPY & QQQ Traded Volumes"
to the scatter plot. - Label the x-axis as
"SPY Daily Traded Volume"
and the y-axis as"QQQ Daily Traded Volume"
.
Interaktive Übung
Versuche dich an dieser Übung, indem du diesen Beispielcode vervollständigst.
# Make a scatter plot
____(
____.____,
____.____,
smooth=____,
linewidth=____,
linecolor=:____,
label=____,
markercolor=:____
)
# Add a title to the figure
____(____)
# Label the x and y axes
____(____)
____(____)