Risk and return of classic car market prices: passion or financial investment?

被引:2
|
作者
Le Fur, Eric [1 ]
机构
[1] INSEEC Grande Ecole, H19 Quai Bacalan, F-33000 Bordeaux, France
关键词
Classic cars; Collectibles; Passion; Return; Risk; FINE WINE; AUCTION MARKET; ART; ASSET; DIVERSIFICATION; NORMALITY;
D O I
10.1057/s41260-022-00288-8
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
This paper examines the risk and returns of classic car price indices over the 1994-2021 period. We calculate the central tendency, dispersion, shape of risk and returns, the unit root tests, and correlations. The results indicate a moderated volatility, a low range of returns, and a weak expectation of financial gain given the ancillary costs related to the auction, transport, insurance, guarding, maintenance, and restoration. There are low correlations among the classic car markets. These results provide a better understanding of the risk and returns of the classic car market for many actors such as individual and professional investors, collectors, and wealth managers. Investing in a classic car is more of a passion and emotional investment than a simple desire for financial gain.
引用
收藏
页码:59 / 68
页数:10
相关论文
共 50 条
  • [1] Risk and return of classic car market prices: passion or financial investment?
    Eric Le Fur
    Journal of Asset Management, 2023, 24 : 59 - 68
  • [2] Study on the financial risk of the artwork investment market
    Wang, Jian
    Open Cybernetics and Systemics Journal, 2015, 9 (01): : 1868 - 1873
  • [3] Persistence in the passion investment market
    Caporale, Guglielmo Maria
    Gil-Alana, Luis
    Plastun, Alex
    Havrylina, Ahniia
    HELIYON, 2022, 8 (12)
  • [4] High return and low risk: Shaping composite financial investment decision in the new energy stock market
    Zhu, Qing
    Zhou, Xiaobo
    Liu, Shan
    ENERGY ECONOMICS, 2023, 122
  • [5] Risk sharing in a financial market with endogenous option prices
    Wenzelburger, Jan
    EUROPEAN JOURNAL OF FINANCE, 2013, 19 (06): : 491 - 517
  • [6] CORPORATE FINANCIAL STRATEGIES AND MARKET MEASURES OF RISK AND RETURN
    BREEN, WJ
    LERNER, EM
    JOURNAL OF FINANCE, 1973, 28 (02): : 339 - 351
  • [7] FINANCIAL MARKET RISK AND GOLD INVESTMENT IN AN EMERGING MARKET: THE CASE OF MALAYSIA
    Mansor, Ibrahim H.
    ROMANIAN JOURNAL OF ECONOMIC FORECASTING, 2011, 14 (04): : 79 - 89
  • [8] Financial market risk and gold investment in an emerging market: the case of Malaysia
    Ibrahim, Mansor H.
    INTERNATIONAL JOURNAL OF ISLAMIC AND MIDDLE EASTERN FINANCE AND MANAGEMENT, 2012, 5 (01) : 25 - +
  • [9] Investment risk and return under renewable decarbonization of a power market
    Munoz, Jose I.
    Bunn, Derek W.
    CLIMATE POLICY, 2013, 13 : 87 - 105
  • [10] Financial Ratio, Macro Economy, and Investment Risk on Sharia Stock Return
    Widagdo, Bambang
    Jihadi, M.
    Bachitar, Yanuar
    Safitri, Oky Ervina
    Singh, Sanju Kumar
    JOURNAL OF ASIAN FINANCE ECONOMICS AND BUSINESS, 2020, 7 (12): : 919 - 926