This diverging signal appears to be contributing to assessment model performance, as larger retrospective patterns (a measure of assessment uncertainty) occurred for stocks with negative correlations between relative F and Z. While a variety of mechanisms could be involved in these diverging signals, ...
In terms of the unconditional volatilities, we find that for stock returns the U.S. crisis spread through Brazil, Russia, China and India. The joint dynamics of stocks and bonds show short term negative correlations with stocks responding negatively and bonds positively to the U.S. stress ...
Fratzscher, Schneider, and Van Robays (2013) show that oil was not correlated with stocks until 2001, but as oil started to be used as a financial asset, the link between oil and other assets strengthened. Our key empirical results can be summarized as follows: (i) Correlations between ...
The data are processed using the OLS estimation method, and Akaike’s Information Criterion (AIC) is used to choose the optimal model. The results show that property and real estate stocks in Indonesia with negative profitability at all quantiles can hedge inflation and interest rates. However, ...
The 𝑆&𝑃500S&P500 index, an index of the New York Stock Exchange, consists of the 500 largest companies in the US. It is a market value-weighted index (stock price times number of shares outstanding), with each stock’s weight in the index proportionate to its market value. The ...
aThe negative correlation between the convenience yield and the inventory level suggests that it is closely linked to business cycle, as the convenience yield is unrelated to the thermal coal stocks in Europe. 便利出产量和库存层之间的负相关建议它与经济周期严密连接,因为便利出产量与热量煤炭股票是无关...
With stocks and bond prices moving higher together some are now worried that they are too closely correlated.According to Bloomberg, SoGen’s data reveals that “Two-thirds of the S&P 500 showing a positive correlation to US bonds.” In their view, this makes further gains in already expensive...
A Portfolio of Stocks and Volatility.The article discusses the study that determines the volatility index using the Standard and Poor's (S&P) 500 stock portfolio. An asset class for trading that generates a negative correlation with the index portfolio of stocks is called volatility. The ...
knowing with a calculated probability when (time duration) a specific effect (e.g., positive cumulative abnormal return) after a certain trigger point (cause of the irrational behavior) is spotted, regression analysis is applied on the information in the duration to have more accurate return ...
Costco Wholesale's competitive analysis is the process of researching and evaluating its competitive landscape. It provides an understanding of the strengths, weaknesses, opportunities, and threats (SWOT) faced by Costco Wholesale Corp in relation to its