Cross-sectional expected returns: new Fama-MacBeth regressions in the era of machine learning

被引:0
|
作者
Han, Yufeng [1 ]
He, Ai [2 ]
Rapach, David E. [3 ]
Zhou, Guofu [4 ]
机构
[1] Univ N Carolina, Belk Coll Business, Charlotte, NC USA
[2] Univ South Carolina, Darla Moore Sch Business, Columbia, SC USA
[3] Fed Reserve Bank Atlanta, Atlanta, GA USA
[4] Washington Univ, Olin Business Sch, 1 Brookings Dr, St Louis, MO 63130 USA
关键词
penalized regression; forecast combination; forecast encompassing; characteristic payoff; cross-sectional out-of-sample R-2 statistic; STOCK RETURNS; INFORMATION; SELECTION; RISK; SAMPLE;
D O I
10.1093/rof/rfae027
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
We extend the Fama-MacBeth regression framework for cross-sectional return prediction to incorporate big data and machine learning. Our extension involves a three-step procedure for generating return forecasts based on Fama-MacBeth regressions with regularization and predictor selection as well as forecast combination and encompassing. As a by-product, it provides estimates of characteristic payoffs. We also develop three performance measures for assessing cross-sectional return forecasts, including a generalization of the popular time-series out-of-sample R-2 statistic to the cross section. Applying our extension to over 200 firm characteristics, our cross-sectional return forecasts significantly improve out-of-sample predictive accuracy and provide substantial economic value to investors. Overall, our results suggest that a relatively large number of characteristics matter for determining cross-sectional expected returns. Our new method is straightforward to implement and interpret, and it performs well in our application.
引用
收藏
页数:25
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