Cleveland
Graph a housing market:
S&P/Case-Shiller® Cleveland Home Price Index
Cleveland Housing vs. Asset Classes, Monthly
1 YEAR
Correlation
Return
Volatility
Sharpe*
S&P/CSI
1.00
-9.51%
1.12%
-2.35
Bonds
-0.92
10.91%
0.99%
3.20
Commodities
-0.94
49.15%
3.63%
0.46
REITs
0.89
-23.60%
5.16%
-0.45
Stocks
0.94
-6.40%
3.60%
0.86
3 YEAR
Correlation
Return
Volatility
Sharpe*
S&P/CSI
1.00
-11.11%
0.88%
-0.45
Bonds
-0.64
18.90%
0.98%
1.18
Commodities
-0.06
34.53%
5.25%
0.42
REITs
0.70
11.32%
4.57%
0.56
Stocks
0.19
10.21%
2.59%
1.34
5 YEAR
Correlation
Return
Volatility
Sharpe*
S&P/CSI
1.00
-3.97%
0.80%
0.15
Bonds
-0.07
31.57%
1.19%
1.43
Commodities
0.26
105.47%
5.27%
0.83
REITs
0.60
63.19%
4.71%
0.80
Stocks
0.24
55.55%
2.60%
1.03
10 YEAR
Correlation
Return
Volatility
Sharpe*
S&P/CSI
1.00
16.82%
0.67%
0.58
Bonds
-0.08
83.80%
1.16%
1.33
Commodities
0.19
205.46%
5.19%
0.62
REITs
0.15
30.91%
4.31%
0.45
Stocks
0.00
22.30%
3.60%
0.25
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*Sharpe Ratio is calculated by taking the excess returns (average, rolling 12-month return) above/below the risk-free rate (average 3-month US Treasury Bill yield), and dividing by volatility (standard deviation of average, rolling 12-month return).
Cleveland
Cuyahoga, OH
Geauga, OH
Lake, OH
Lorain, OH
Medina, OH
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