Hi guys,
regarding a way these information sources can supplement each other, is it possible to give an example of how to use both sets of indicators (i.e. broker data & shareholding aggregation) - in tandem, so to speak - to weed out non-shareholder related siignals on a periodic basis e.g. daily/ weekly?
Perhaps this kind of tool exists already somewhere in the shareable universe. If so, I'm not sure where to look. But I think that there'd be value in attempted correlation of the two sets of data points.
Thoughts?
Cheers
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