股票市场全球化与投资组合再平衡

Kyung-Soo Kim, Dongwon Lee
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引用次数: 5

摘要

本文考察了金融全球化对新兴市场国际股票型共同基金投资组合选择的影响。通过对155只国际基金的月度持有量进行分析,我们首先发现,这些基金在实现超额收益变化后,积极参与再平衡策略,以保持其风险偏好。我们还记录了强有力的证据,表明这些基金的再平衡倾向在股票市场与全球市场相关性更强的国家更大。研究结果有助于理解金融全球化如何提高国际基金在新兴经济体持股的投资组合风险。
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Equity Market Globalization and Portfolio Rebalancing
This paper examines how the financial globalization affects international equity mutual funds' portfolio choices in emerging markets. By examining the monthly holdings of 155 international funds, we first show that these funds actively engage in a rebalancing strategy to maintain their risk preferences upon realization of excess return changes. We also document robust evidence that these funds' propensity of rebalancing is larger in a country whose equity market is more strongly correlated with the global market. The results help understand how the financial globalization may raise the portfolio risk of the international funds' equity holdings in emerging economies.
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