Activity autocorrelation in financial marketsA comparative study between several models

被引:0
|
作者
L. Palatella
J. Perelló
M. Montero
J. Masoliver
机构
[1] INFM - Dipartimento di Fisica dell’Universitá di Pisa,Departament de Física Fonamental
[2] Universitat de Barcelona,undefined
关键词
Entropy; Autocorrelation; Experimental Evidence; Volatility; Financial Market;
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中图分类号
学科分类号
摘要
We study the activity of financial markets, i.e., the number of transactions per unit of time. Using the diffusion entropy technique we show that the autocorrelation of the activity is caused by the presence of peaks whose time distances are distributed following an asymptotic power-law which ultimately recovers an exponential behavior. We discuss these results in comparison with ARCH models, stochastic volatility models and multi-agent models showing that ARCH and stochastic volatility models better describe the observed experimental evidences.
引用
收藏
页码:671 / 677
页数:6
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