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| Content Provider | Taylor & Francis Online |
|---|---|
| Author | Zenzerović, Robert |
| Abstract | The present paper characterizes the mean-reverting behavior of six ASEAN markets – Indonesia, Malaysia, the Philippines, Singapore, Thailand, and Vietnam – using an autoregressive exponential GARCH-in mean model and daily data from August 2000 to May 2010. The results indicate fast speed of mean-reversion in the returns of these markets but with quite distinct patterns of return dynamics. The evidence seems strong to suggest asymmetric mean reversion and overreaction during market downturns in the Indonesian market. The Vietnamese market exhibits most persistent return autocorrelation with some evidence pointing to higher persistence during market downturns. However, there is no evidence indicating significant serial correlation in the markets of Singapore and Thailand. Finally, the leverage effect is documented in all markets except Vietnam. We tentatively attribute these differences to stages of market development and, accordingly their levels of efficiency, and to the degree of market volatility. |
| Starting Page | 1 |
| Ending Page | 14 |
| Page Count | 14 |
| File Format | PDF HTM / HTML |
| ISSN | 1331677X 18489664 |
| DOI | 10.1080/1331677X.2011.11517451 |
| Journal | Economic Research-Ekonomska Istraživanja |
| Volume Number | 24 |
| Issue Number | 2 |
| Language | English |
| Publisher | Routledge |
| Publisher Date | 2015-11-09 |
| Access Restriction | Open |
| Subject Keyword | Asymmetry Mean Reversion Volatility AR-EGARCH(1, 1) ASEAN Markets Asimetrija Lretanje prosječnih vrijednosti Volatilnost AR-EGARCH(1,1) Tržišta ASEAN-a G10 G12 |
| Content Type | Text |
| Resource Type | Article |
| Subject | Economics and Econometrics |
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