Prior to the steps below, enter the data as appropriate for the analyses (described elsewhere).
Get the means and standard deviations for the variables.
(CorrelationData) |> describeMoments()
Get the covariance matrix for the variables.
(CorrelationData) |> describeCovariances()
Get the correlation matrix for the variables.
(CorrelationData) |> describeCorrelations()
Get the correlation and its confidence interval.
(CorrelationData) |> estimateCorrelations()
Test the correlation for statistical significance.
(CorrelationData) |> testCorrelations()