Bilgilendirme: Sürüm Güncellemesi ve versiyon yükseltmesi nedeniyle, geçici süreyle zaman zaman kesintiler yaşanabilir ve veri içeriğinde değişkenlikler gözlemlenebilir. Göstereceğiniz anlayış için teşekkür ederiz.
 

Stock Returns and Volatility: Empirical Evidence From Fourteen Countries

No Thumbnail Available

Date

2005

Journal Title

Journal ISSN

Volume Title

Publisher

Routledge Journals, Taylor & Francis Ltd

Open Access Color

OpenAIRE Downloads

OpenAIRE Views

Research Projects

Journal Issue

Abstract

This is a pioneering effort to test in 14 countries the relationship between stock market returns and their forecast volatility derived from the symmetric and asymmetric conditional heteroscedasticity models. Both weekly and monthly returns and their volatility are investigated. An out-of-sample testing methodology is employed using volatility forecasts instead of investigating the relation between stock returns and their in-sample volatility estimates. Expected volatility is derived from the ARCH(p), GARCH(1, 1), GJR-GARCH(1, 1) and EGARCH(1, 1) forecast models. Expected volatility is found to have a significant negative or positive effect on country returns in a few cases. Unexpected volatility has a negative effect on weekly stock returns in six to seven countries and on monthly returns in nine to eleven countries depending on the volatility forecasting model. However, it has a positive effect on weekly and monthly returns in none of the countries investigated. It is concluded that the return variance may not be an appropriate measure of risk.

Description

Keywords

Turkish CoHE Thesis Center URL

Fields of Science

Citation

Balaban, E.; Bayar, A. "Stock returns and volatility: empirical evidence from fourteen countries", Applied Economics Letters, Vol.12, No.10, pp.603-611, (2005).

WoS Q

Q3

Scopus Q

Q2
OpenCitations Logo
OpenCitations Citation Count
15

Source

Volume

12

Issue

10

Start Page

603

End Page

611
PlumX Metrics
Citations

CrossRef : 7

Scopus : 15

Captures

Mendeley Readers : 28

Google Scholar Logo
Google Scholar™
OpenAlex Logo
OpenAlex FWCI
2.90049164

Sustainable Development Goals

9

INDUSTRY, INNOVATION AND INFRASTRUCTURE
INDUSTRY, INNOVATION AND INFRASTRUCTURE Logo

12

RESPONSIBLE CONSUMPTION AND PRODUCTION
RESPONSIBLE CONSUMPTION AND PRODUCTION Logo

15

LIFE ON LAND
LIFE ON LAND Logo