Time Frame: Actually, quite short term - looking for a quick reversion to the mean and narrowing of the performance gap.
- Trading at lower boundary of 40-day 2 standard deviation Bollinger Band (BB) - 5-day performance gap is wide as it sees GFI lower by 4.23% while HAR is lower by a larger 12.61% - 250-day correlation above 80%
A successful pair trade can be realized 1 of 3 ways:
The long position rises while the short position falls The long position rises faster than the short position rises The short position falls faster than the long position falls.
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