Semivariance decomposition of country-level returns

被引:9
|
作者
Beach, Steven L. [1 ]
机构
[1] Radford Univ, Dept Accounting Finance & Business Law, Radford, VA 24142 USA
关键词
D-CAPM; Downside risk; Semivariance decomposition; Systematic risk; DOWNSIDE; MARKET; RISK; VARIANCE;
D O I
10.1016/j.iref.2011.01.004
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
A methodology for decomposing the below-mean semivariance into systematic and unsystematic components is introduced. The decomposition of variance and semivariance of asset returns is presented for forty-four country-level indexes. The proportion of risk explained for country-level returns in the Downside CAPM framework is higher than in the CAPM framework. On average for all markets, global systematic risk, as a proportion of total risk, is 42% in the CAPM and 56% in the Downside CAPM. A strong role for semivariance and downside beta is found in explaining the cross-section of country returns. Although skew is highly correlated to semivariance, no cross-sectional confirmation of the role of skew as a priced risk or in explaining the downside risk is identified. (C) 2011 Elsevier Inc. All rights reserved.
引用
收藏
页码:607 / 623
页数:17
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