Forecasting the US housing market

被引:51
|
作者
Kouwenberg, Roy [1 ,2 ]
Zwinkels, Remco [2 ]
机构
[1] Mahidol Univ, Coll Management, Bangkok 10700, Thailand
[2] Erasmus Univ, Erasmus Sch Econ, NL-3000 DR Rotterdam, Netherlands
关键词
Real estate market; Price forecasting; Smooth transition models; Error correction models; Combining forecasts; PRICES; BUBBLES; FUNDAMENTALS; DYNAMICS; CRASHES; STOCK; MODEL;
D O I
10.1016/j.ijforecast.2013.12.010
中图分类号
F [经济];
学科分类号
02 ;
摘要
The recent housing market boom and bust in the United States illustrates that real estate returns are characterized by short-term positive serial correlation and long-term mean reversion to fundamental values. We develop an econometric model that includes these two components, but with weights that vary dynamically through time depending on recent forecasting performances. The smooth transition weighting mechanism can assign more weight to positive serial correlation in boom times, and more weight to reversal to fundamental values during downturns. We estimate the model with US national house price index data. In-sample, the switching mechanism significantly improves the fit of the model. In an out-of-sample forecasting assessment the model performs better than competing benchmark models. (C) 2014 International Institute of Forecasters. Published by Elsevier B.V. All rights reserved.
引用
收藏
页码:415 / 425
页数:11
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