Corporate risk-return relations: Returns variability versus downside risk

被引:208
|
作者
Miller, KD [1 ]
Leiblein, MJ [1 ]
机构
[1] UNIV S CAROLINA, COLUMBIA, SC 29208 USA
来源
ACADEMY OF MANAGEMENT JOURNAL | 1996年 / 39卷 / 01期
关键词
D O I
10.5465/256632
中图分类号
F [经济];
学科分类号
02 ;
摘要
This study tested a model of firm risk-return relations in which risk was conceptualized in terms of downside outcomes. Drawing on the behavioral theory of the firm, we developed a set of hypotheses involving downside risk, return, and organizational slack, The hypothesized risk and return relations were tested using both downside risk and the conventional standard deviation of returns. The results indicate downside risk results in improved subsequent performance, Performance shows a negative relation with subsequent downside risk.
引用
收藏
页码:91 / 122
页数:32
相关论文
共 50 条
  • [41] RISK-RETURN SEASONALITY AND MICROECONOMIC VARIABLES
    GANGOPADHYAY, P
    JOURNAL OF FINANCIAL RESEARCH, 1994, 17 (03) : 347 - 361
  • [42] RISK-RETURN TRADEOFFS FOR STRATEGIC MANAGEMENT
    MARSH, TA
    SWANSON, DS
    SLOAN MANAGEMENT REVIEW, 1984, 25 (03): : 35 - 51
  • [43] Financial Constraints and the Risk-Return Relation
    Wang, Tao
    ECONOMICS BULLETIN, 2007, 7
  • [44] Investor sentiment and the risk-return tradeoff
    Amiri, Mohamed Marouen
    Naoui, Kamel
    Derbali, Abdelkader
    Ben Sassi, Mounir
    INTERNATIONAL JOURNAL OF FINANCIAL ENGINEERING, 2020, 7 (04)
  • [45] MANAGERIALISM AND RISK-RETURN PERFORMANCE - COMMENT
    BOWER, RS
    SOUTHERN ECONOMIC JOURNAL, 1974, 40 (03) : 505 - 506
  • [46] A RISK-RETURN PARADOX FOR STRATEGIC MANAGEMENT
    BOWMAN, EH
    SLOAN MANAGEMENT REVIEW, 1980, 21 (03): : 17 - 31
  • [47] Institutional herding and risk-return relationship
    Huang, Teng-Ching
    Wu, Ching-Chih
    Lin, Bing-Huei
    JOURNAL OF BUSINESS RESEARCH, 2016, 69 (06) : 2073 - 2080
  • [48] Extreme downside risk and expected stock returns
    Huang, Wei
    Liu, Qianqiu
    Rhee, S. Ghon
    Wu, Feng
    JOURNAL OF BANKING & FINANCE, 2012, 36 (05) : 1492 - 1502
  • [49] The impact of downside risk on UK stock returns
    Huang, Fangzhou
    REVIEW OF ACCOUNTING AND FINANCE, 2019, 18 (01) : 53 - 70
  • [50] Downside risk measures and equity returns in the NYSE
    Chen, Dar-Hsin
    Chen, Chun-Da
    Chen, Jianguo
    APPLIED ECONOMICS, 2009, 41 (08) : 1055 - 1070