Pricing Risks Across Currency Denominations

夏普比率 经济 欧洲美元 金融经济学 外汇风险 波动性风险 计量经济学 利率 波动性(金融) 市场风险 货币 隐含波动率 货币经济学 文件夹 波动性风险溢价
作者
Thomas Andreas Maurer,Thuy‐Duong Tô,Ngoc-Khanh Tran
出处
期刊:Management Science [Institute for Operations Research and the Management Sciences]
卷期号:65 (12): 5308-5336 被引量:25
标识
DOI:10.1287/mnsc.2018.3109
摘要

We use principal component analysis on 55 bilateral exchange rates of 11 developed currencies to identify two important global risk sources in foreign exchange (FX) markets. The risk sources are related to Carry and Dollar but are not spanned by these factors. We estimate the market prices associated with the two risk sources in the cross-section of FX market returns and construct FX market-implied country-specific stochastic discount factors (SDFs). The SDF volatilities are related to interest rates and expected carry trade returns in the cross-section. The SDFs price international stock returns and are related to important financial stress indicators and macroeconomic fundamentals. The first principal risk is associated with the Treasury-EuroDollar (TED) spread, quantities measuring volatility, tail and contagion risks, and future economic growth. It earns a relatively small implied Sharpe ratio. The second principal risk is associated with the default and term spreads and quantities capturing volatility and illiquidity risks. It further correlates with future changes in the long-term interest rate and earns a large implied Sharpe ratio. This paper was accepted by Lauren Cohen, finance.
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