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使用时变系统风险度量的股票特征分析。

Stock profiling using time-frequency-varying systematic risk measure.

作者信息

Mestre Roman

机构信息

Montpellier Research in Economics, University of Montpellier, Avenue Raymond Dugrand, 34960 Montpellier, Cedex 2, France.

出版信息

Financ Innov. 2023;9(1):52. doi: 10.1186/s40854-023-00457-7. Epub 2023 Feb 14.

Abstract

This study proposes a wavelets approach to estimating time-frequency-varying betas in the capital asset pricing model (CAPM) framework. The dynamic of systematic risk across time and frequency is analyzed to investigate stock risk-profile robustness. Furthermore, we emphasize the effect of an investor's investment horizon on the robustness of portfolio characteristics. We use a daily panel of French stocks from 2012 to 2022. Results show that varying systematic risk varies in time and frequency, and that its short and long-run evolutions differ. We observe differences in short and long dynamics, indicating that a stock's betas differently fluctuate to early announcements or signs of events. However, short-run and long-run betas exhibit similar dynamics during persistent shocks. Betas are more volatile during times of crisis, resulting in greater or lesser robustness of risk profiles. Significant differences exist in short-run and long-run risk profiles, implying a different asset allocation. We conclude that the standard CAPM assumes short-run investment. Then, investors should consider time-frequency CAPM to perform systematic risk analysis and portfolio allocation.

摘要

本研究提出了一种在资本资产定价模型(CAPM)框架内估计时变贝塔系数的小波方法。通过分析系统风险在时间和频率上的动态变化,来研究股票风险特征的稳健性。此外,我们强调了投资者投资期限对投资组合特征稳健性的影响。我们使用了2012年至2022年法国股票的日数据面板。结果表明,系统风险随时间和频率变化,其短期和长期演变有所不同。我们观察到短期和长期动态存在差异,这表明股票的贝塔系数对早期公告或事件迹象的波动方式不同。然而,在持续冲击期间,短期和长期贝塔系数表现出相似的动态。在危机时期,贝塔系数波动更大,导致风险特征的稳健性或多或少有所不同。短期和长期风险特征存在显著差异,这意味着资产配置不同。我们得出结论,标准CAPM假设的是短期投资。因此,投资者在进行系统风险分析和投资组合配置时应考虑时频CAPM。

https://cdn.ncbi.nlm.nih.gov/pmc/blobs/22b0/9925367/b712336b1237/40854_2023_457_Fig1_HTML.jpg

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