Diamonds and precious metals for reduction of portfolio tail risk

被引:6
|
作者
Barbi, Massimiliano [1 ]
Geman, Helyette [2 ,3 ]
Romagnoli, Silvia [4 ]
机构
[1] Univ Bologna, Dept Management, Bologna, Italy
[2] Johns Hopkins Univ, Dept Appl Math & Stat, 3400 North Charles St, Baltimore, MD 21218 USA
[3] Birkbeck Univ London, Dept Econ Math & Stat, London, England
[4] Univ Bologna, Dept Stat, Bologna, Italy
关键词
Diamonds; precious metals; diversification; Copula functions; tail dependence; SAFE HAVEN; FINANCIAL ECONOMICS; GOLD; HEDGE;
D O I
10.1080/00036846.2019.1696938
中图分类号
F [经济];
学科分类号
02 ;
摘要
We study the performance of diamonds compared to gold and other precious metals in mitigating the tail risk of a diversified equity market portfolio over the period June 2007 to October 2018. Our results display a diversification benefit of some diamond indices, which also improve the portfolio reward-to-risk ratio. To corroborate this evidence, we study the dependence structure and tail dependence of diamonds and a broad equity market portfolio and compare it to the dependence obtained with gold and other precious metals. Results from fitting a bivariate copula show that the average left tail dependence reaches its minimum when diamonds are used. We also show that using shares of diamond-mining companies does not provide the same benefits.
引用
收藏
页码:2841 / 2861
页数:21
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