Research on the Risk Spillover Effect Applying the EVT–Copula–CoVAR Model

dc.contributor.authorČulík, Miroslav
dc.contributor.authorGurný, Petr
dc.contributor.authorGao, Lun
dc.date.accessioned2024-05-22T08:06:27Z
dc.date.available2024-05-22T08:06:27Z
dc.date.issued2020
dc.description.abstractThe goal of this paper is to apply the extreme value theory, copula function and conditional value-at-risk method. Specifically, the EVT–copula–CoVaR model is constructed and combined with the Copula function to analyse the dynamic correlation between the price of gold and the world’s major stock markets. On the basis of the proposed model and results, the conditional value at risk (CoVaR) and the marginal risk spillover effect (ΔCoVaR) measures are used to analyse the impact of gold prices on the world’s major stock markets. The empirical results show that the fluctuation of the gold price has a certain risk spillover effect on the world’s major stock markets.cs
dc.identifier.citationEkonomická revue. 2020, roč. 23, č. 1, s. 5-16 : il.cs
dc.identifier.doi10.7327/cerei.2020.03.01cs
dc.identifier.issn1212-3951cs
dc.identifier.urihttp://hdl.handle.net/10084/152633
dc.language.isoencs
dc.publisherVysoká škola báňská - Technická univerzita Ostravacs
dc.relation.ispartofseriesEkonomická revuecs
dc.relation.urihttps://dokumenty.vsb.cz/docs/files/cs/550c1e6a-4e4d-4253-be0f-621be86e96a5cs
dc.rights© Vysoká škola báňská - Technická univerzita Ostravacs
dc.rightsAttribution-NoDerivatives 4.0 International*
dc.rights.accessopenAccesscs
dc.rights.urihttp://creativecommons.org/licenses/by-nd/4.0/*
dc.subjectrisk spillovercs
dc.subjectvolatility effectcs
dc.subjectextreme value theorycs
dc.subjectVaRcs
dc.subjectCoVaRcs
dc.subjectcopula functioncs
dc.titleResearch on the Risk Spillover Effect Applying the EVT–Copula–CoVAR Modelcs
dc.typearticlecs
dc.type.statusPeer-reviewedcs
dc.type.versionpublishedVersioncs

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