Forecast Evaluation of Explanatory Models of Financial Variability

被引:0
|
作者
Sucarrat, Genaro [1 ]
机构
[1] Univ Carlos III Madrid, Dept Econ, E-28903 Getafe, Spain
关键词
Financial variability; financial volatility; forecasting; explanatory modelling; exchange rates;
D O I
暂无
中图分类号
F [经济];
学科分类号
02 ;
摘要
A practice that has become widespread and widely endorsed is that of evaluating forecasts of financial variability obtained from discrete time models by comparing them with high-frequency ex post estimates (e.g. realised volatility) based on continuous time theory. In explanatory financial variability modelling this raises several methodological and practical issues, which suggests an alternative approach is needed. The contribution of this study is twofold. First, the finite sample properties of operational and practical procedures for the forecast evaluation of explanatory discrete time models of financial variability are studied. Second, based on the simulation results a simple but general framework is proposed and illustrated. The illustration provides an example of where an explanatory model outperforms realised volatility ex post.
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页数:34
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