US sectors and geopolitical risk: The investor's perspective

被引:0
|
作者
Choudhury, Tonmoy [1 ]
机构
[1] SP Jain Sch Global Management, Lidcombe, Australia
关键词
US sectors; Geopolitical risk; Fama and French; Five factor model; Geopolitical risk management; UNITED-STATES; REAL-ESTATE; INVESTMENT;
D O I
10.1016/j.frl.2024.106690
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
Geopolitical risk has become the single biggest concern of modern-day investors. Disruptions in the business can destabilize portfolio values, as seen in most geopolitical crises. This paper employs an extended five-factor model to examine whether investors in US industries can anticipate these upcoming shifts in geopolitical risk to safeguard themselves better. Findings indicate that the financial sector investors are most associated with expected geopolitical risks. The basic materials and energy sectors are also vulnerable, while consumer goods and services are impacted by upcoming geopolitical threats but not acts. These insights are crucial for portfolio diversification and industry resilience.
引用
收藏
页数:10
相关论文
共 50 条
  • [41] Gold mining stocks- an investor's perspective
    Baranowski, Mikolaj
    Pera, Krystian
    GOSPODARKA SUROWCAMI MINERALNYMI-MINERAL RESOURCES MANAGEMENT, 2023, 39 (02): : 125 - 143
  • [42] The tail risk of crude oil Price_Based on EPU and geopolitical risk perspective
    Jia W.
    Lyu Y.
    Zhu Z.
    Resources Policy, 2024, 92
  • [43] China's Vaccine Diplomacy in South Asia: Geopolitical Perspective
    Tanwar, Priyanka
    Bindra, S. S.
    Ul Haq, Nisar
    ASIAN JOURNAL OF PHARMACEUTICS, 2023, 17 (01) : 33 - 37
  • [44] Economic policy uncertainty, geopolitical risk, market sentiment, and regional stocks: asymmetric analyses of the EU sectors
    Ahmed Bossman
    Mariya Gubareva
    Tamara Teplova
    Eurasian Economic Review, 2023, 13 : 321 - 372
  • [45] Geopolitical Obstacles to the DPRK's Development Strategy in a Historical Perspective
    Noumoff, S. J.
    CHINA REPORT, 2006, 42 (04) : 385 - 391
  • [46] Asymmetric spillover of geopolitical risk and oil price volatility: A global perspective
    Zhang, Zhikai
    Wang, Yudong
    Li, Bin
    RESOURCES POLICY, 2023, 83
  • [47] The effect of oil implied volatility and geopolitical risk on GCC stock sectors under various market conditions
    Bouri, Elie
    Hammoud, Rami
    Abou Kassm, Christina
    ENERGY ECONOMICS, 2023, 120
  • [48] Economic policy uncertainty, geopolitical risk, market sentiment, and regional stocks: asymmetric analyses of the EU sectors
    Bossman, Ahmed
    Gubareva, Mariya
    Teplova, Tamara
    EURASIAN ECONOMIC REVIEW, 2023, 13 (3-4) : 321 - 372
  • [49] Environmental perspective in Iran's energy consumption sectors
    Avami, Akram
    Farahmandpour, Bahare
    PROCEEDINGS OF THE 3RD IASME/WSEAS INTERNATIONAL CONFERENCE ON ENERGY & ENVIRONMENT: ENERGY AND ENVIRONMENT III, 2008, : 293 - +
  • [50] The relative importance of economic policy uncertainty and geopolitical risk on US REITs returns
    Coen, Alain
    Desfleurs, Aurelie
    JOURNAL OF PROPERTY INVESTMENT & FINANCE, 2024, 42 (06) : 576 - 590