Abstract
In the increasingly globalized economy these days, the major crude oil markets worldwide are seeing higher level of integration, which results in higher level of dependency and transmission of risks among different markets. Thus the risk of the typical multi-asset crude oil portfolio is influenced by dynamic correlation among different assets, which has both normal and transient behaviors. This paper proposes a novel multivariate wavelet denoising based approach for estimating Portfolio Value at Risk (PVaR). The multivariate wavelet analysis is introduced to analyze the multi-scale behaviors of the correlation among different markets and the portfolio volatility behavior in the higher dimensional time scale domain. The heterogeneous data and noise behavior are addressed in the proposed multi-scale denoising based PVaR estimation algorithm, which also incorporates the mainstream time series to address other well known data features such as autocorrelation and volatility clustering. Empirical studies suggest that the proposed algorithm outperforms the benchmark ExponentialWeighted Moving Average (EWMA) and DCC-GARCH model, in terms of conventional performance evaluation criteria for the model reliability.
| Original language | English |
|---|---|
| Pages (from-to) | 1018-1043 |
| Journal | Energies |
| Volume | 5 |
| Issue number | 4 |
| Online published | 18 Apr 2012 |
| DOIs | |
| Publication status | Published - Apr 2012 |
Research Keywords
- DCC-GARCH model
- Exponential Weighted Moving Average (EWMA) model
- Heterogeneous market hypothesis
- Multivariate time series model
- Multivariate wavelet analysis
- Portfolio Value at Risk
Publisher's Copyright Statement
- This full text is made available under CC-BY 3.0. https://creativecommons.org/licenses/by/3.0/
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