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I'm trying to analyse the effect of different stock market parameters on the performance of a stock price, e.g. the volume, the relative volume, the

I'm trying to analyse the effect of different stock market parameters on the performance of a stock price, e.g. the volume, the relative volume, the float, the price, the gap %, the time of day, etc. I was wondering which method is best to do this, i.e. how do you go about isolating the effect of one parameter to analyse each one individually independent of the other factors, or maybe there's a way to combine the analysis to find the optimal combination of parameters? Maybe something like an ANOVA test, I don't know.

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