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Modelling and forecasting risk dependence and portfolio VaR for cryptocurrencies

Bibliographic Data

ID21542283
AuthorsJie Cheng (0000-0001-6133-6534), Kurt Takamine (0000-0002-7456-8307, Chapman University, corresponding author)
Year2023
Volume65
Issue2
Pages899-924
Publication date2023-08-01
Peer ReviewedYes
Open AccessYes
TypeARTICLE
VenueEmpirical Economics (JOURNAL)
Journal identifiersISSN: 0377-7332 • E-ISSN: 1435-8921
PublisherSpringer Science and Business Media LLC (PUBLISHER)
DOI10.1007/s00181-023-02360-7
OpenAlexW3124700454
LanguageEN
Citations received2
References cited55

In this paper, we investigate the co-dependence and portfolio value-at-risk of cryptocurrencies, with the Bitcoin, Ethereum, Litecoin and Ripple price series from January 2016 to December 2021, covering the crypto crash and pandemic period, using the generalized autoregressive score (GAS) model. We find evidence of strong dependence among the virtual currencies with a dynamic structure. The empirical analysis shows that the GAS model smoothly handles volatility and correlation changes, especially during more volatile periods in the markets. We perform a comprehensive comparison of out-of-sample probabilistic forecasts for a range of financial assets and backtests and the GAS model outperforms the classic DCC (dynamic conditional correlation) GARCH model and provides new insights into multivariate risk measures

Appreciative Inquiry · Business · Economics · Epistemology · Generative grammar · Management · Organizational change · Political science · Positive psychological capital · Public relations · Public sector · Skepticism · Sociology · Transformational leadership · Appreciative Inquiry and Organizational Change · Computer Science · Ego Development and Educational Practices · Psychology · Social Psychology · Workplace Spirituality and Leadership

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Unique citing works2
Citations per year2
Citation span2025 - 2025 (1)
Citation velocityrecent
Highly citedNo
Citation typesNeutral: 2

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