重温白银危机

IF 3.7 4区 经济学 Q1 BUSINESS, FINANCE Journal of Commodity Markets Pub Date : 2023-06-01 DOI:10.1016/j.jcomm.2022.100288
Don Bredin , Valerio Potì , Enrique Salvador
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引用次数: 0

摘要

本文探讨了20世纪70年代末的白银危机,这场危机导致了对亨特兄弟1.5亿美元的诉讼。1988年8月,陪审团裁定亨特兄弟犯有阴谋、操纵、垄断、敲诈勒索和欺诈罪。使用行为模型,我们的目标是量化20世纪70年代和80年代白银市场的操纵程度,特别关注白银危机之前的时期。我们的行为模式考虑了基本面、操纵和投机的作用。我们的研究结果表明,在白银危机之前,几乎没有证据表明白银市场存在操纵行为。在我们的样本中,基本面和投机都主导着白银市场,投机在20世纪70年代后半叶尤为重要。操纵和投机之间的区别至关重要。虽然操纵迫使价格偏离其基本价值,但投机并没有。投机者的目的当然是利用价格变化,但他们的行为完全合理,符合白银的基本价值。
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Revisiting the Silver Crisis

This paper examines the Silver Crisis of the late 1970s, which resulted in a $150 million lawsuit against the Hunt Brothers. In August 1988, the Hunt Brothers were found guilty by a jury of conspiracy, manipulation, monopolization, racketeering and fraud. Using a behavioural model, we aim to quantify the extent of manipulation in the silver market during the 1970s and the 1980s, with a specific focus on the period leading up to the Silver Crisis. Our behavioural model takes account of the role of fundamentals, manipulation and speculation. Our results indicate very little evidence of manipulation in the silver market in the run up to the Silver Crisis. Both fundamentals and speculation dominate the silver market during our sample, with speculation particularly important in the latter half of the 1970s. The distinction between manipulation and speculation is critical. While manipulation forces prices away from their fundamental value, speculation does not. Speculators certainly aim to take advantage of price changes but the actions are fully rational and consistent with the fundamental value of silver.

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来源期刊
CiteScore
5.70
自引率
2.40%
发文量
53
期刊介绍: The purpose of the journal is also to stimulate international dialog among academics, industry participants, traders, investors, and policymakers with mutual interests in commodity markets. The mandate for the journal is to present ongoing work within commodity economics and finance. Topics can be related to financialization of commodity markets; pricing, hedging, and risk analysis of commodity derivatives; risk premia in commodity markets; real option analysis for commodity project investment and production; portfolio allocation including commodities; forecasting in commodity markets; corporate finance for commodity-exposed corporations; econometric/statistical analysis of commodity markets; organization of commodity markets; regulation of commodity markets; local and global commodity trading; and commodity supply chains. Commodity markets in this context are energy markets (including renewables), metal markets, mineral markets, agricultural markets, livestock and fish markets, markets for weather derivatives, emission markets, shipping markets, water, and related markets. This interdisciplinary and trans-disciplinary journal will cover all commodity markets and is thus relevant for a broad audience. Commodity markets are not only of academic interest but also highly relevant for many practitioners, including asset managers, industrial managers, investment bankers, risk managers, and also policymakers in governments, central banks, and supranational institutions.
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