科研成果详情

发表状态已发表Published
题名Option-Implied variance asymmetry and the cross-section of stock returns
作者
发表日期2019-04-01
发表期刊Journal of Banking and Finance
ISSN/eISSN0378-4266
卷号101页码:21-36
摘要

We find a positive relationship between individual stocks’ implied variance asymmetry, defined as the difference between upside and downside risk-neutral semivariances extracted from out-of-money options, and future stock returns. The high-minus-low hedge portfolio earns the excess return of 0.90% (0.67%) per month in equal-weighted (value-weighted) returns. We show that implied variance asymmetry provides a neat measure of risk-neutral skewness and outperforms the standard risk-neutral skewness in predicting the cross-section of future stock returns. Risk-based equilibrium asset pricing models can not explain such a positive relationship, which instead can be potentially explained by information asymmetry and informed trading.

关键词Implied variance asymmetry Informed trading Liquidity Return predictability Risk-neutral semivariances Risk-neutral skewness
DOI10.1016/j.jbankfin.2019.02.001
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收录类别SSCI
语种英语English
WOS研究方向Business & Economics
WOS类目Business, Finance ; Economics
WOS记录号WOS:000463297100003
Scopus入藏号2-s2.0-85061086526
引用统计
被引频次:11[WOS]   [WOS记录]     [WOS相关记录]
文献类型期刊论文
条目标识符https://repository.uic.edu.cn/handle/39GCC9TT/8813
专题个人在本单位外知识产出
通讯作者Li, Junye
作者单位
1.International Business School Suzhou,Xi'an Jiaotong-Liverpool University,Suzhou,China
2.ESSEC Business School,Paris-Singapore,Singapore
推荐引用方式
GB/T 7714
Huang, Tao,Li, Junye. Option-Implied variance asymmetry and the cross-section of stock returns[J]. Journal of Banking and Finance, 2019, 101: 21-36.
APA Huang, Tao, & Li, Junye. (2019). Option-Implied variance asymmetry and the cross-section of stock returns. Journal of Banking and Finance, 101, 21-36.
MLA Huang, Tao,et al."Option-Implied variance asymmetry and the cross-section of stock returns". Journal of Banking and Finance 101(2019): 21-36.
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