Analysis of the Impact of Orthogonalized Brent Oil Price Shocks on the Returns of Dependent Industries in Times of the Russian War

Tim Friedhoff, C. Au, Philippe Krahnhof
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引用次数: 4

Abstract

It has already been literarily proven that the past shows a statistical correlation between crude oil prices and certain industries that are influenced by its volatility. In this context, the Russian war in particular leads to reassessable reactions of these industries. In this paper, we investigate this influence during the war period and compare the results with pre-war calculations for 533 companies from 12 industries. Therefore, we use a recursive SVAR model, based on which we illustrate our results graphically with the impulse-response function. We find that the shock responses of industries to Brent volatilities during the war period have a high explanatory power, but we find different results for the individual industries. While oil-producing industries react positively to positive shocks (more so during the war period), the impact on oil-producing industries is rather small, but negative. Oil & Gas Drilling shows an increase of 10 % and Tires & Rubber Products a decrease of 8 %. Also other industries show surprising results.
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对俄战争时期正交化布伦特原油价格冲击对依赖产业收益的影响分析
过去已经有文献证明,原油价格与受其波动性影响的某些行业之间存在统计相关性。在这种背景下,俄罗斯战争尤其导致了这些行业的可重新评估的反应。在本文中,我们研究了战争期间这种影响,并将结果与战前的计算结果进行了比较,其中包括来自12个行业的533家公司。因此,我们使用递归SVAR模型,在此基础上,我们用脉冲响应函数图解地说明了我们的结果。我们发现战争时期各行业对布伦特原油波动的冲击反应具有很高的解释力,但我们发现个别行业的结果不同。虽然石油生产行业对正面冲击反应积极(在战争时期尤其如此),但对石油生产行业的影响相当小,但却是负面的。石油和天然气钻探业务增长10%,轮胎和橡胶制品业务下降8%。其他行业也显示出令人惊讶的结果。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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