Causal effects of the United States and Japan on Pacific-Rim stock markets: nonparametric quantile causality approach

被引:44
|
作者
Balcilar, Mehmet [1 ,2 ]
Gupta, Rangan [2 ]
Nguyen, Duc Khuong [3 ,4 ]
Wohar, Mark E. [5 ,6 ]
机构
[1] Eastern Mediterranean Univ, Dept Econ, Famagusta, Turkey
[2] Univ Pretoria, Dept Econ, Pretoria, South Africa
[3] IPAG Business Sch, IPAG Lab, Paris, France
[4] Indiana Univ, Sch Publ & Environm Affairs, Bloomington, IN 47405 USA
[5] Univ Nebraska, Dept Econ, Lincoln, NE 68583 USA
[6] Loughborough Univ Technol, Loughborough, Leics, England
关键词
Causality in return; causality in variance; equity markets; Pacific-Rim; C32; G10; C59; GLOBAL FINANCIAL CRISIS; VOLATILITY SPILLOVERS; EQUITY MARKETS; INTERNATIONAL TRANSMISSION; EMPIRICAL-EVIDENCE; RISK SPILLOVER; HIGHER MOMENTS; TIME-SERIES; CONTAGION; INTERDEPENDENCE;
D O I
10.1080/00036846.2018.1488062
中图分类号
F [经济];
学科分类号
02 ;
摘要
This article adopts a nonparametric quantile causality approach to examine the causal effects of the U.S. and Japan stock markets on the stock markets of the Pacific-Rim region. This approach allows us to detect not only nonlinear causalities in conditional return (mean) and conditional volatility (variance) but also the asymmetries of causalities under extreme market conditions (bullish vs. bearish states). Our results provide significant evidence of causality in return and volatility at different points of the conditional distributions of returns, with the greater effects from the U.S. than from Japan. Asymmetric quantile causality patterns are particularly pronounced in the case of Japan.
引用
收藏
页码:5712 / 5727
页数:16
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