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Aggregate volatility expectations and threshold CAPM

delete2015-11-01
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PRE
AI
Y
Yakup Eser Arısoy *
A
Aslihan Altay‐Salih
DOI:10.1016/j.najef.2015.09.013delete
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摘要

摘要

En 中文
We propose a volatility-based capital asset pricing model (V-CAPM) in which asset betas change discretely with respect to changes in investors' expectations regarding near-term aggregate volatility. Using a novel measure to proxy uncertainty about expected changes in aggregate volatility, i.e. monthly range of the VIX index (RVIX), we find that portfolio betas change significantly when uncertainty about aggregate volatility expectations is beyond a certain threshold level. Due to changes in their market betas, small and value stocks are perceived as riskier than their big and growth counterparts in bad times, when uncertainty about aggregate volatility expectations is high. The proposed model yields a positive and significant market risk premium during periods when investors do not expect significant uncertainty in near-term aggregate volatility. Our findings support a volatility-based time-varying risk explanation. (C) 2015 Elsevier Inc. All rights reserved.
Keyword:
Aggregate volatility
Threshold regression
Conditional CAPM
Range
VIX

期刊

North American Journal of Economics and Finance 封面图
North American Journal of Economics and Finance
IF:
3.9
论文数:
2.0K
被引数:
4.8K

机构

U
universite paris-dauphine
学者数:
500
论文数: 480
被引数: 0
U
Universite PSL
学者数:
3.3W
论文数: 2.5W
被引数: 91
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