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KURA vs SLN: Correlation

How closely do Kura Oncology, Inc. (KURA) and Silence Therapeutics Plc - American Depository Share (SLN) trade together? Their weekly returns over three years give a correlation of 0.47, which is moderate.

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

Correlation (3Y)
0.47
moderate
Correlation (1Y)
0.41
last 12 months
Correlation (5Y)
0.31
long-run
Ann. covariance
2416.4
%² · weekly, annualized

How correlated are KURA and SLN?

Over the past 3 years, KURA and SLN moved with a correlation of 0.47, which is moderate. The relationship has been stable: the 1-year correlation (0.41) sits close to the 3-year figure. Over 5 years the correlation is 0.31, and the annualized covariance of weekly returns is 2416.4 %².

By 3-year correlation, SLN places #6 of the 20 assets tracked against KURA. The last year tells two different stories: SLN led by 91.0 percentage points, +67.7% for KURA against +158.7% for SLN.

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.

KURA vs SLN: side by side

KURA (Kura Oncology, Inc.)SLN (Silence Therapeutics Plc - American Depository Share)
1-year return+67.7%+158.7%
5-year return-30.6%-42.5%
Volatility (ann.)59.8%86.0%
Beta vs S&P 5001.611.27
Max drawdown (3Y)-76.5%-91.7%
Market cap$1.2B$0.8B
P/E (trailing)
Dividend yield0.00%0.00%
Sector / categoryUS ListedUS Listed
Smaller drawdown: KURA -76.5% vs -91.7%Higher 5y return: KURA -30.6% vs -42.5%
-22%0%+141%2025-09-052026-08-27
Twelve months of weekly closes, each series rebased to 100. KURA · SLN

Year-by-year returns

YearKURASLN
2022-11.4%-36.2%
2023+15.9%+13.9%
2024-39.4%-60.4%
2025+19.3%-11.6%
2026+26.9%+121.2%

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

Are KURA and SLN good diversifiers for each other?

A fair diversifier. At 0.47, enough of each asset's movement is its own that the pair has smoothed outcomes historically.

FAQ

What is the correlation between KURA and SLN?

Using weekly returns as of 2026-08-27: 0.47 over 3 years, with 0.41 over the last year and 0.31 over 5 years.

Is SLN a good diversifier for KURA?

A fair diversifier. At 0.47, enough of each asset's movement is its own that the pair has smoothed outcomes historically.

What does a correlation of 0.47 mean?

Correlation ranges from −1 to +1. Values near +1 mean two assets move together, near 0 that they move independently, and negative values that they tend to move in opposite directions. It measures co-movement, not performance.

Use this data

JSON API · no key required
$ curl https://www.pairbook.io/api/v1/pairs/kura-vs-sln.json

KURA vs SLN: 3-year weekly correlation 0.47KURA vs SLN0.47

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Related comparisons

Hubs: KURA correlations · SLN correlations