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An Investigation of the Relationship between Risk and Return: The Case of the Latin American Stock Markets

机译:风险与收益之间的关系研究:以拉丁美洲股票市场为例

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This paper empirically explores the time-varying risk and return relationship in the Latin American equity markets. Our investigations find some positive linkage between risk and return in Latin America although it does not always perfectly hold. More concretely, first, we find that in the Latin American stock markets, in the daily and quarterly data, positive relationship between risk and return is relatively often observed although it is not always recognized. Second, we find that in Brazilian and Colombian equity markets, positive relations between risk and return are relatively often observed. On the other hand, from our investigations, in the stock markets in Chile, no positive risk-return tradeoff is observed.
机译:本文从经验上探讨了拉丁美洲股票市场的时变风险与收益关系。我们的调查发现,拉美地区的风险与回报之间存在一定的积极联系,尽管这种联系并不总是完全成立。更具体地说,首先,我们发现在拉丁美洲股票市场中,在每日和季度数据中,尽管并不总是被认可,但相对经常观察到风险与收益之间的正相关关系。其次,我们发现在巴西和哥伦比亚的股票市场中,相对经常观察到风险与收益之间存在正向关系。另一方面,根据我们的调查,在智利的股票市场中,未观察到积极的风险收益权衡。

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