Should investors include green bonds in their portfolios? Evidence for the USA and Europe

被引:98
|
作者
Han, Yingwei [1 ]
Li, Jie [2 ]
机构
[1] China Univ Geosci, Sch Econ & Management, Beijing 100083, Peoples R China
[2] Beijing Technol & Business Univ, Sch Int Econ & Management, Beijing 100048, Peoples R China
基金
中国国家自然科学基金;
关键词
Green bonds; Portfolio diversification; Conditional value-at-risk; Dynamic R-vine copula; VINE; DEPENDENCE; MODEL;
D O I
10.1016/j.irfa.2021.101998
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
The green bond market has seen a rapid growth world widely in recent years. This paper explores the role of green bonds in asset allocation using the dynamic R-vine copula-based mean-CVaR approach. We compare the performance of portfolios including green bonds with that of portfolios including conventional bonds in the U.S. and European markets. Empirical results show that portfolios with green bonds outperform portfolios with conventional bonds in terms of risk-adjusted returns in the majority of cases in both markets. The benefit of green bonds comes from both the increase in the return and the decrease in the volatility for most of the cases. Overall, our findings suggest that green bonds are beneficial to investors.
引用
收藏
页数:14
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