International Diversification with Focus on Cointegration

International Diversification with Focus on Cointegration PDF Author: Inga Kudzmaite
Publisher: LAP Lambert Academic Publishing
ISBN: 9783659229893
Category :
Languages : en
Pages : 116

Book Description
Recent globalization and integration of capital markets made international diversification more difficult for many investors and caused correlations between the securities to increase, especially during the times of adverse economic conditions. This paper argues that markets, which have cointegrating relationship and follow common trend in a long time horizon, cannot contribute much to portfolio diversification. Therefore, investors, who are willing to invest for long-term, should rather choose cointegration analysis instead of usual correlation approach for portfolio diversification purposes because the former is more appropriate for long-term. Thus, this paper took a perspective of Lithuanian investor and conducted cointegration analysis with 8 other country equity indices over a period 2000-2011 in order to find out which markets Vilnius OMX is cointegrated with. This paper should be useful to investors who seek to diversify internationally and look for a long-term perspective, and who are willing to go beyond the conventional portfolio diversification methods.

International Diversification Using Cointegration and Modern Portfolio Theory

International Diversification Using Cointegration and Modern Portfolio Theory PDF Author: Jose Balarezo
Publisher:
ISBN:
Category :
Languages : en
Pages : 116

Book Description
It is widely accepted that diversifying internationally is a sound strategy because correlations among securities in different countries are lower as compared to local securities. We argue however, that in some instances, diversifying internationally might not be as effective; therefore, investors need to be careful in choosing where to diversify internationally. For investors with longer time horizons, if countries share common long term movements, the benefits of international diversification will be diminished. We argue that international diversification will benefit investors only in the cases that the home country does not cointegrate with the foreign market. To verify this argument, this paper uses cointegration techniques to investigate long term movements between The U.S. and 15 foreign markets, and then uses country ETFs (Exchange Traded Funds) to build portfolios constructed by combining the findings of the cointegration techniques with Modern Portfolio Theory (MPT) and compares the results against portfolios built solely on MPT. The results clearly support our hypothesis as in more than 90% of the cases tested, the portfolios constructed by combining the findings of our cointegration analysis with the optimization techniques of MPT outperform - in a risk adjusted basis - portfolios constructed only by using the optimization techniques used by MPT.

Environmental, Social, and Governance Perspectives on Economic Development in Asia

Environmental, Social, and Governance Perspectives on Economic Development in Asia PDF Author: William A. Barnett
Publisher: Emerald Group Publishing
ISBN: 1801175969
Category : Business & Economics
Languages : en
Pages : 239

Book Description
This new volume of the International Symposia in Economic Theory and Econometrics explores the latest economic and financial developments in Asia.

Nonlinear Financial Econometrics: Markov Switching Models, Persistence and Nonlinear Cointegration

Nonlinear Financial Econometrics: Markov Switching Models, Persistence and Nonlinear Cointegration PDF Author: Greg N. Gregoriou
Publisher: Springer
ISBN: 0230295215
Category : Business & Economics
Languages : en
Pages : 214

Book Description
This book proposes new methods to value equity and model the Markowitz efficient frontier using Markov switching models and provide new evidence and solutions to capture the persistence observed in stock returns across developed and emerging markets.

Advance$ in International Inve$tment$

Advance$ in International Inve$tment$ PDF Author: Hung-gay Fung
Publisher: World Scientific
ISBN: 9812708626
Category : Business & Economics
Languages : en
Pages : 309

Book Description
To better understand the full range of international investments available (which, with China and India opening up to foreign investors, is greater than ever), this book identifies different asset classes and current hot topics such as new financial instruments in a changing global environment.

Managerial Finance in the Corporate Economy

Managerial Finance in the Corporate Economy PDF Author: Dilip K. Ghosh
Publisher: Routledge
ISBN: 1134834225
Category : Business & Economics
Languages : en
Pages : 440

Book Description
In most countries the economic structure and financial landscape are dominated by corporations. A critical examination of the various facets of the corporate economy is thus vitally important. In Managerial Finance in the Corporate Economy the authors use new theoretical apparatus and empirical evaluations to present such a study. The book includes new findings on mutual and pension funds, portfolio diversification, market volatility, financial institutions and corporate behaviour in the context of the international economy.

Advances In International Investments: Traditional And Alternative Approaches

Advances In International Investments: Traditional And Alternative Approaches PDF Author: Hung-gay Fung
Publisher: World Scientific
ISBN: 9814474711
Category : Business & Economics
Languages : en
Pages : 309

Book Description
The globalization of financial markets has led to an integrated world market. Emerging economies such as China and India have opened up their markets to foreign investors. New instruments such as exchange-traded funds are being created, and current instruments are being expanded to include real asset investments such as natural resources and real estate investments.To better understand the full range of investments available, this book identifies different asset classes and current hot topics such as new financial instruments, innovations, and strategies in a changing global environment. Asset class, which can be labeled as either traditional or alternative investments, is examined in three areas: (1) trends — description of the current topic/instrument/strategy in the chosen asset class; (2) opportunities — identification of what is new and/or where to invest or arbitrage, i.e., location; and (3) risks — determination of the risks (peculiar to the location) and how international investors can manage/reduce/eliminate them.

South Asia in the Era of Globalization

South Asia in the Era of Globalization PDF Author: Mita Bhattacharya
Publisher: Nova Publishers
ISBN: 9781594540301
Category : Business & Economics
Languages : en
Pages : 280

Book Description
The South Asian economies constitute the largest and most densely populated region of the world. With an estimated 1.4 billion plus people, this is a larger market area than China. This volume addresses South Asia's opening up and attempts to integrate into the global economy. The volume is unique among existing offerings on South Asia in that it covers the dynamics of structural adjustments due to globalisation, focusing on the development and welfare aspects of the region. The contributions, by a broad range of international experts from the disciplines of banking and finance, economics, management and political science, are informed by three central themes. The three themes are industry reforms and market adjustment; economic performance and the effects on globalisation on specific industries; and economic development, poverty and welfare issues. The volume adopts a broad interdisciplinary approach to these issues and will appeal to readers from across the business disciplines.

Computational Management

Computational Management PDF Author: Srikanta Patnaik
Publisher: Springer Nature
ISBN: 303072929X
Category : Technology & Engineering
Languages : en
Pages : 682

Book Description
This book offers a timely review of cutting-edge applications of computational intelligence to business management and financial analysis. It covers a wide range of intelligent and optimization techniques, reporting in detail on their application to real-world problems relating to portfolio management and demand forecasting, decision making, knowledge acquisition, and supply chain scheduling and management.

Price Indexes in Time and Space

Price Indexes in Time and Space PDF Author: Luigi Biggeri
Publisher: Springer Science & Business Media
ISBN: 3790821403
Category : Business & Economics
Languages : en
Pages : 267

Book Description
This book deals with many of the most relevant topics in price index numbers theory and practice. The problem of the harmonization of CPIs and the time-space integration of baskets is analyzed at the Eu-zone level, with methodological and actual proposals on how to proceed for an overall treatment of the matte. Likewise, the construction of sub-indexes for households economic and social groups is investigated, in order to obtain specific inflation measurement instruments. Evidence from most updated databases is given. The questions of the spatial comparisons of price levels through PPPs and th.