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ARTV vs SEED: Correlation

Measured on weekly returns over the past three years, Artiva Biotherapeutics, Inc. (ARTV) and Origin Agritech Limited (SEED) carry a correlation of 0.34, a moderate link.

Data as of 2026-08-27 · refreshed every trading day · weekly returns · methodology

Correlation (3Y)
0.34
moderate
Correlation (1Y)
0.36
last 12 months
Correlation (5Y)
n/a
long-run
Ann. covariance
3857.1
%² · weekly, annualized

How correlated are ARTV and SEED?

Over the past 3 years, ARTV and SEED moved with a correlation of 0.34, which is moderate. Recent behaviour matches the longer record: 0.36 over 1 year against 0.34 over 3. Over 5 years the correlation is n/a, and the annualized covariance of weekly returns is 3857.1 %².

Within ARTV's tracked universe of 19 assets, SEED comes in at #12 by 3-year correlation. Correlation aside, the last 12 months split them widely, with ARTV ahead by 284.8 points (+265.1% versus -19.7%). One caveat on sizing: ARTV is 1.7 times as volatile as the other leg, so an equal-dollar split is far from equal-risk.

How is this computed?

Pearson correlation on weekly returns: ρ(A,B) = cov(rA, rB) / (σA · σB), over windows of 52, 156 and 260 weeks. Covariance is annualized (×52) and expressed in %². Full definitions on the methodology page.

ARTV vs SEED: side by side

ARTV (Artiva Biotherapeutics, Inc.)SEED (Origin Agritech Limited)
1-year return+265.1%-19.7%
5-year returnn/a-88.2%
Volatility (ann.)145.0%86.1%
Beta vs S&P 5002.620.93
Max drawdown (3Y)-90.7%-86.5%
Market cap$0.6B
P/E (trailing)
Dividend yield0.00%0.00%
Sector / categoryUS ListedUS Listed
Smaller drawdown: SEED -86.5% vs -90.7%
-29%0%+248%2025-09-052026-08-27
Twelve months of weekly closes, each series rebased to 100. ARTV · SEED

Year-by-year returns

YearARTVSEED
2022-3.1%
2023-67.6%
2024-6.7%
2025-57.4%-47.1%
2026+178.3%-11.1%

Calendar-year price returns; the current year is year-to-date as of the data date above.

Are ARTV and SEED good diversifiers for each other?

A fair diversifier. At 0.34, enough of each asset's movement is its own that the pair has smoothed outcomes historically.

FAQ

What is the correlation between ARTV and SEED?

The ARTV/SEED correlation stands at 0.34 on a 3-year window (1 year: 0.36, 5 years: n/a), computed from weekly returns as of 2026-08-27.

Is SEED a good diversifier for ARTV?

A fair diversifier. At 0.34, enough of each asset's movement is its own that the pair has smoothed outcomes historically.

What does a correlation of 0.34 mean?

A reading of 0.34 sits on a scale from −1 (opposite moves) through 0 (unrelated) to +1 (identical moves). Correlation captures direction, not magnitude or performance.

Use this data

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$ curl https://www.pairbook.io/api/v1/pairs/artv-vs-seed.json

ARTV vs SEED: 3-year weekly correlation 0.34ARTV vs SEED0.34

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Related comparisons

Hubs: ARTV correlations · SEED correlations