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Time-Varying Integration and International Diversification Strategies

机译:时代的整合和国际多样化策略

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This paper investigates the impact of globalization and integration on the relative benefits of country and industry diversification. Unlike previous models, our factor model allows asset exposures to vary with both structural changes and temporary fluctuations in the economic and financial environment. First, we find that globalization and integration have lead to a gradual convergence of country to industry betas, especially in Europe. Second, not accounting for time- varying factor exposures leads to substantial biases in measures of country and industry risk. Third, even after correcting for the TMT bubble, geographical and industry diversification now yield roughly the same diversification benefits.
机译:本文调查了全球化和整合对国家和行业多样化的影响。 与以前的型号不同,我们的因素模型允许资产曝光随着结构性变化和经济和金融环境中的临时波动而异。 首先,我们发现全球化和融合导致国家到行业赌注的逐步融合,特别是在欧洲。 其次,不占时变因子暴露导致国家和行业风险措施中的大量偏见。 第三,即使在纠正TMT泡沫之后,地理和行业多元化现在也产生了大致相同的多样化效益。

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