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Showing
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date (oldest first)
1
Stock return predictability and variance risk premia : statistical inference and international evidence
Bollerslev, Tim
;
Marrone, James
;
Xu, Lai
;
Zhou, Hao
-
2011
Persistent link: https://www.econbiz.de/10009406434
Saved in:
2
Stock return predictability and variance risk premia : statistical inference and international evidence
Bollerslev, Tim
;
Marrone, James
;
Xu, Lai
;
Zhou, Hao
- In:
Journal of financial and quantitative analysis : JFQA
49
(
2014
)
3
,
pp. 633-661
Persistent link: https://www.econbiz.de/10010487089
Saved in:
3
Stock Return Predictability and Variance Risk Premia : Statistical Inference and International Evidence
Bollerslev, Tim
-
2012
existing evidence of the U.S., we show that country specific regressions for
France
, Germany, Japan, Switzerland and the U …
Persistent link: https://www.econbiz.de/10013115149
Saved in:
4
Stock Return Predictability and Variance Risk Premia : Statistical Inference and International Evidence
Bollerslev, Tim
-
2012
existing evidence of the U.S., we show that country specific regressions for
France
, Germany, Japan, Switzerland and the U …
Persistent link: https://www.econbiz.de/10013109053
Saved in:
5
International Stock Return Differentials and Real Exchange Rate Changes
Malliaropulos, Dimitris
-
2022
This article investigates the link between international stock return differentials relative to the US and deviations from relative Purchasing Power Parity. Assuming that the real exchange rate and the relative stock price between two countries contain both permanent and temporary components, we...
Persistent link: https://www.econbiz.de/10013491880
Saved in:
6
Does time varying risk premia exist in the international bond market? : an empirical evidence from Australian and French bond market
Aftab, Hira
;
Beg, Rabiul Alam
- In:
International Journal of Financial Studies : open …
9
(
2021
)
1/3
,
pp. 1-13
estimates of the bivariate risk premia show bi-directional causality exist between the Australia and
France
Bond markets …. Overall results suggest nonexistence of pure rational expectation
theory
in the risk premium model. This information is useful …
Persistent link: https://www.econbiz.de/10012422545
Saved in:
7
Market efficiency, asset returns, and the size of the risk premium in global equity markets
Bansal, Ravi
;
Lundblad, Christian
- In:
Journal of econometrics
109
(
2002
)
2
,
pp. 195-237
Persistent link: https://www.econbiz.de/10001689009
Saved in:
8
Triumph of the optimists : 101 years of global investment returns
Dimson, Elroy
;
Marsh, Paul
;
Staunton, Mike
-
2002
-
1. ed.
Persistent link: https://www.econbiz.de/10001635057
Saved in:
9
The Forward Premium Puzzle and Latent Factors Day by Day
Bernoth, Kerstin
-
2011
We use futures instead of forward rates to study the complete maturity spectrum of the forward premium puzzle from two days to six months. At short maturities the slope coefficient is positive, but these turn negative as the maturity increases to the monthly level. Futures data allow us to...
Persistent link: https://www.econbiz.de/10013119324
Saved in:
10
On the Risk Return Relationship
Wang, Jian-Xin
-
2012
While the risk return trade-off
theory
suggests a positive relationship between the expected return and the conditional … volatility, the volatility feedback
theory
implies a channel that allows the conditional volatility to negatively affect the …
Persistent link: https://www.econbiz.de/10013107127
Saved in:
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