Macro Risk of Low-Volatility Portfolios

被引:0
|
作者
Blitz, David [1 ]
机构
[1] Quantitat Investments Div Robeco, Rotterdam, Netherlands
来源
JOURNAL OF PORTFOLIO MANAGEMENT | 2023年 / 49卷 / 03期
关键词
CROSS-SECTION;
D O I
暂无
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
This article examines the exposures of low-volatility portfolios to various sources of systematic risk. The analysis includes interest rate, implied volatility, liquidity, commodity, sentiment, macroeconomic, and climate risk factors. The author finds that low-volatility portfolios lower the exposure to all significant drivers of systematic risk. The risk reductions vary from a minimum of 20% to over 90% across the various risk factors. Although low-volatility portfolios are very effective at dampening known structural risk factors, the 2020 COVID-19 pandemic episode illustrates that event risk is harder to control for data-driven methods.
引用
收藏
页码:25 / 35
页数:11
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