On the General Deviation Measure and the Gini coefficient

被引:1
|
作者
Nisani, Doron [1 ]
机构
[1] Univ Haifa, Sch Business Adm, 199 Abba Khoushy Ave, IL-3498838 Haifa, Israel
关键词
Axiomatic Risk Measure; Coherent Risk Measure; General Deviation Measure; Gini coefficient; VALUE-AT-RISK; PORTFOLIO SELECTION; MARKET EQUILIBRIUM;
D O I
10.1111/ijet.12370
中图分类号
F [经济];
学科分类号
02 ;
摘要
The General Deviation Measure introduces a progressive definition for financial risk measurement, which presents an alternative to the Coherent Risk Measure. This definition replaces the Translation Invariance and Monotonicity axioms with the Shift Invariance and Nonnegativity axioms, and it includes the Mean Absolute Deviation measure and other variations of the Value-at-Risk measurements. This research shows that Coherent Risk Measure holds an intrinsic contradiction regarding riskless assets, and it proves that the Gini coefficient is also a General Deviation Measure. These contributions improve the efficiency of risk measurement and asset pricing in the financial markets.
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页码:599 / 610
页数:12
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