Risk forecasting in the crude oil market: A multiscale Convolutional Neural Network approach

被引:23
|
作者
Zou, Yingchao [1 ,2 ]
Yu, Lean [2 ]
Tso, Geoffrey K. F. [3 ]
He, Kaijian [4 ,5 ]
机构
[1] Beijing Univ Chem Technol, Coll Informat Sci & Technol, Beijing 100029, Peoples R China
[2] Beijing Univ Chem Technol, Sch Econ & Management, Beijing 100029, Peoples R China
[3] City Univ Hong Kong, Dept Management Sci, Kowloon Tong, Tat Chee Ave, Hong Kong, Peoples R China
[4] Hunan Univ Sci & Technol, Hunan Engn Res Ctr Ind Big Data & Intelligent Dec, Xiangtan 411201, Peoples R China
[5] Hunan Univ Sci & Technol, Sch Business, Xiangtan 411201, Peoples R China
基金
中国国家自然科学基金;
关键词
Crude oil risk forecasting; Variational mode decomposition; Deep learning model; Convolutional Neural Network model; Value at risk; EMPIRICAL MODE DECOMPOSITION; STOCK MARKETS; PRICE; DEPENDENCE; PREDICTION; ENERGY; VOLATILITY; SPILLOVER; CHINA;
D O I
10.1016/j.physa.2019.123360
中图分类号
O4 [物理学];
学科分类号
0702 ;
摘要
As the crude oil price movement is influenced by increasingly diverse range of risk factors in the crude oil markets, the crude oil price exhibits more complex nonlinear behavior and poses higher level of risk for investors than ever before. To model the crude oil risk changes at higher level of accuracy, we proposed a new multiscale approach to estimate Value at Risk. It takes advantage of Variational Mode Decomposition (VMD) model to extract and model the main risk factors in the multiscale domain, where the individual characteristics of these risk factors are modeled using ARMA-GARCH models. The Convolutional Neural Network (CNN) based nonlinear ensemble model is employed to aggregate these risk forecasts as the ensemble members and produce the optimal ensemble forecasts. Empirical evaluation of the performance of the proposed model has been conducted using the extensive dataset, constructed with daily price observations in the major crude oil markets, Experiment results confirm that the proposed risk forecasting models produce an improved forecasting accuracy for the typical risk measures such as Value at Risk. (C) 2019 Elsevier B.V. All rights reserved.
引用
收藏
页数:11
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