Return relationships among European equity sectors: A comparative analysis across selected sectors in small and large economies

被引:3
|
作者
Taing, Siv
Worthington, Andrew [1 ]
机构
[1] Univ Wollongong, Sch Accounting & Finance, Wollongong, NSW 2522, Australia
[2] Queensland Univ Technol, Sch Econ & Finance, Brisbane, Qld 4001, Australia
关键词
risk and return; volatility; autoregressive conditional heteroskedasticity;
D O I
10.1080/15140326.2005.12040633
中图分类号
F [经济];
学科分类号
02 ;
摘要
This paper examines return interrelationships between numbers of equity sectors across several European markets. The markets comprise six Member States of the European Union (EU): namely, Belgium, Finland. France, Germany, Ireland and Italy. The five sectors include the consumer discretionary, consumer staples, financial, industrials and materials sectors. Generalised Autoregressive Conditional Heteroskedasticity in Mean (GARCH-M) models are used to consider the impact of returns in other European markets on the returns in each market across each sector. The results indicate that there are relatively few significant interrelationships between sectors in different markets, with most of these accounted for by the larger markets in France, Germany and Italy. The evidence also suggests the consumer discretionary, financial and materials sectors are relatively more interrelated than the consumer staples and industrials sectors. This has clear implications for portfolio diversification and asset pricing in the EU.
引用
收藏
页码:371 / 388
页数:18
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