Multiscale systematic risk

نویسندگان

  • Ramazan Gençay
  • Faruk Selçuk
  • Brandon Whitcher
چکیده

In this paper we propose a new approach to estimating systematic risk (the beta of an asset). The proposed method is based on a wavelet multiscaling approach that decomposes a given time series on a scale-by-scale basis. The empirical results from different economies show that the relationship between the return of a portfolio and its beta becomes stronger as the wavelet scale increases. Therefore, the predictions of the CAPM model should be investigated considering the multiscale nature of risk and return.

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تاریخ انتشار 2003