How Bad Must Conditions Be To Make Investors Flee?

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چکیده

This paper examines the conditions under which investors flee from stocks to bonds or vice versa. Daily and weekly stock and bond returns are analyzed to determine when investors start to flee from a market and rebalance their portfolios. We use a theoretical model that demonstrates why rational investors deviate from the optimal portfolio weights and under which conditions they rebalance their portfolios. Quantile Regression is employed to analyze empirically when investors flee from certain asset classes. The results demonstrate significant advantages of this approach compared to commonly employed techniques. The proposed approach can quasi-endogenously identify different regimes of stock-bond co-movements and directly distinguish between flight-to-quality and flight-from-quality. Our empirical results for eight major stock and bond markets show that there are three distinct regimes of stock-bond co-movements. Time-varying quantile estimates further show that there is a positive trend in the likelihood and severity of flights. The findings show that diversification between stocks and bonds is effective especially in times when it is needed most. JEL classification: C32; E44; F3; G14; G15

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تاریخ انتشار 2008