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A generalized Dynamic Conditional Correlation model for portfolio risk evaluation

✍ Scribed by Monica Billio; Massimiliano Caporin


Publisher
Elsevier Science
Year
2009
Tongue
English
Weight
518 KB
Volume
79
Category
Article
ISSN
0378-4754

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✦ Synopsis


We propose a generalization of the Dynamic Conditional Correlation multivariate GARCH model of Engle [R.F. Engle, Dynamic conditional correlation: a simple class of multivariate generalized autoregressive conditional heteroskedasticity models, Journal of Business and Economic Statistics 20 (2002) 339-350] and of the Asymmetric Dynamic Conditional Correlation model of Cappiello et al.[L. Cappiello, R.F. Engle, K. Sheppard, Asymmetric dynamics in the correlations of global equity and bond returns, Journal of Financial Econometrics 25 (2006) 537-572]. The model we propose introduces a block structure in parameter matrices that allows for interdependence with a reduced number of parameters. Our model nests the Flexible Dynamic Conditional Correlation model of Billio et al. [M. Billio, M. Caporin, M. Gobbo, Flexible dynamic conditional correlation multivariate GARCH for asset allocation, Applied Financial Economics Letters 2 (2006) 123-130] and is named Quadratic Flexible Dynamic Conditional Correlation Multivariate GARCH.

In the paper, we provide conditions for positive definiteness of the conditional correlations. We also present an empirical application to the Italian stock market comparing alternative correlation models for portfolio risk evaluation.


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