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Hedging long-term forwards with short-term futures: A two-regime approach
被引:0
|
作者
:
Bühler W.
论文数:
0
引用数:
0
h-index:
0
机构:
University of Mannheim, Department of Finance
University of Mannheim, Department of Finance
Bühler W.
[
1
]
Korn O.
论文数:
0
引用数:
0
h-index:
0
机构:
University of Mannheim, Department of Finance
University of Mannheim, Department of Finance
Korn O.
[
1
]
Schöbel R.
论文数:
0
引用数:
0
h-index:
0
机构:
Coll. of Econ. and Bus. Admin., University of Tübingen, D-72074 Tübingen
University of Mannheim, Department of Finance
Schöbel R.
[
2
]
机构
:
[1]
University of Mannheim, Department of Finance
[2]
Coll. of Econ. and Bus. Admin., University of Tübingen, D-72074 Tübingen
来源
:
Review of Derivatives Research
|
2004年
/ 7卷
/ 3期
关键词
:
Hedging;
Long-term forwards;
Metallgesellschaft case;
Two-regime pricing;
D O I
:
10.1007/s11147-004-4809-1
中图分类号
:
学科分类号
:
摘要
:
In this paper we investigate Metallgesellschaft's problem of hedging long-term forwards with short-term futures. Very different hedging strategies have been proposed in the literature. We attribute these differences to the underlying valuation approaches for oil futures and empirically compare five model-based hedging strategies. In particular, we consider a strategy which results from a two-regime pricing model. This continuous-time equilibrium model reflects the observation that prices of oil futures exhibit a very different behavior for low and high oil prices. Our empirical study shows that time diversification is the dominant effect for an effective hedging of long-term oil forwards with short-term futures. © 2005 Kluwer Academic Publishers.
引用
收藏
页码:185 / 212
页数:27
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