This is a tool to help investors understand the correlation between stock asset allocation and S&P 500 returns. The tool uses a linear regression model to predict the correlation between the two variables. The model is trained on historical data and is updated regularly to reflect changes in the market.
If you want to support this project, so I can spin up a server and fetch data everyday, you can donate to this EVM address: 0x284653914156BF2729b04b5FfA68d722f13b034A