Do long-term bonds hedge equity risk? Evidence from Spain

UDC.coleccionInvestigaciónes_ES
UDC.departamentoEmpresaes_ES
dc.contributor.authorFlavin, Thomas J.
dc.contributor.authorLagoa-Varela, Dolores
dc.date.accessioned2016-12-19T13:32:09Z
dc.date.available2016-12-19T13:32:09Z
dc.date.issued2016-02
dc.descriptionFlavin, J. f. , Lagoa-Varela, D. (2016). Do long-term bonds hedge equity risk? Evidence from Spaines_ES
dc.description.abstract[Abstract:] We analyze the relationship between returns on equity and long-term government bonds in the Spanish economy. In particular, we are interested in the stability of the relationship across differing market conditions and if long-term bonds deliver diversification benefits during periods of equity market turbulence. Employing a Markov-switching vector autoregression model with three regimes, we find that Spanish bond returns become more positively correlated with domestic equity returns during periods of financial distress. A sectoral analysis reveals that two sectors – Financials and Oil & Gas – are responsible for this positive comovement with the former being relatively more important.es_ES
dc.identifier.urihttp://hdl.handle.net/2183/17776
dc.language.isoenges_ES
dc.rights.accessRightsopen accesses_ES
dc.subjectStock-bond relationshipes_ES
dc.subjectVolatility regimeses_ES
dc.subjectSpanish financial marketses_ES
dc.subjectSpanish bonds retunses_ES
dc.subjectRetuns on equityes_ES
dc.subjectMarkov-switching vector autoregression modeles_ES
dc.subjectMercado financiero españoles_ES
dc.subjectVolatilidades_ES
dc.subjectBonos del Estadoes_ES
dc.subjectModelo de autorregresión vectorial de conmutación de Markoves_ES
dc.subjectBonos a largo plazoes_ES
dc.titleDo long-term bonds hedge equity risk? Evidence from Spaines_ES
dc.typeworking paperes_ES
dspace.entity.typePublication
relation.isAuthorOfPublication299d4166-cd60-41ef-885c-ce8a10b44cfd
relation.isAuthorOfPublication.latestForDiscovery299d4166-cd60-41ef-885c-ce8a10b44cfd

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