Currency portfolio;
International equity portfolio;
Momentum;
Commodity currencies;
COMMON RISK-FACTORS;
EXCHANGE-RATES;
EXCESS RETURNS;
SECTION;
VOLATILITY;
PREMIA;
DIVERSIFICATION;
PROFITABILITY;
HYPOTHESIS;
SIZE;
D O I:
10.1016/j.jimonfin.2024.103170
中图分类号:
F8 [财政、金融];
学科分类号:
0202 ;
摘要:
This study focuses on two of the most liquid assets-currencies and international equity futures indices-and investigates whether cross-momentum enhances momentum portfolios. We uncover that a combination of equity futures and currency portfolios sorted by cross-momentum outperforms a combination of those sorted by normal-momentum. The change in the Sharpe ratio is 0.32 and the economic gain based on the performance fee measure differs by 4.11% per annum. Moreover, we observe that the cross-momentum strategy is more strongly associated with commodity exporting countries. This stems from the positive relationship between equity futures and macroeconomic conditions for commodity exporting countries.
机构:
Faculty of Business, School of Finance and Economics, University of Technology, Sydney, Broadway, NSW 2007Faculty of Business, School of Finance and Economics, University of Technology, Sydney, Broadway, NSW 2007
Bhar R.
Malliaris A.G.
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h-index: 0
机构:
Department of Economics, Loyola University of Chicago, Chicago, IL 60611Faculty of Business, School of Finance and Economics, University of Technology, Sydney, Broadway, NSW 2007
机构:
Univ Malaya, Fac Business & Accountancy, Dept Finance & Banking, Kuala Lumpur, MalaysiaUniv Malaya, Fac Business & Accountancy, Dept Finance & Banking, Kuala Lumpur, Malaysia
Aftab, Muhammad
Ahmad, Rubi
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机构:
Univ Malaya, Fac Business & Accountancy, Dept Finance & Banking, Kuala Lumpur, MalaysiaUniv Malaya, Fac Business & Accountancy, Dept Finance & Banking, Kuala Lumpur, Malaysia
Ahmad, Rubi
Ismail, Izlin
论文数: 0引用数: 0
h-index: 0
机构:
Univ Malaya, Fac Business & Accountancy, Dept Finance & Banking, Kuala Lumpur, MalaysiaUniv Malaya, Fac Business & Accountancy, Dept Finance & Banking, Kuala Lumpur, Malaysia