Risk and return in a dynamic general equilibrium model

dc.citation.epage1096en_US
dc.citation.issueNumber5en_US
dc.citation.spage1079en_US
dc.citation.volumeNumber24en_US
dc.contributor.authorAkdeniz, L.en_US
dc.date.accessioned2015-07-28T11:56:21Z
dc.date.available2015-07-28T11:56:21Z
dc.date.issued2000en_US
dc.departmentDepartment of Managementen_US
dc.description.abstractIn this paper we examine the relationship between risk and return on productive assets using the intertemporal general equilibrium model of Brock (1982, Asset Prices in a Production Economy, the University of Chicago Press, Chicago, pp. 1-42) as a basis for a simulation study. Current computational techniques are used to solve the growth model of Brock (1979, An Integration of Stochastic Growth and the Theory of Finance - Part I: The Growth Model, Academic Press, New York, pp. 165-192) in order to analyze the underlying financial model. Contrary to recent empirical findings, we find that there is a theoretical basis for the linear relationship between risk and return. This apparent contradiction is due in part to the fact that the dynamic relationship between risk and return depends on the level of output.en_US
dc.description.provenanceMade available in DSpace on 2015-07-28T11:56:21Z (GMT). No. of bitstreams: 1 10.1016-S0165-1889(99)00037-8.pdf: 236088 bytes, checksum: ab4ef3aec2e8d342615b433f5a87202e (MD5)en
dc.identifier.doi10.1016/S0165-1889(99)00037-8en_US
dc.identifier.issn0165-1889
dc.identifier.urihttp://hdl.handle.net/11693/10933
dc.language.isoEnglishen_US
dc.publisherElsevieren_US
dc.relation.isversionofhttp://dx.doi.org/10.1016/S0165-1889(99)00037-8en_US
dc.source.titleJournal of Economic Dynamics and Controlen_US
dc.subjectExpected stock returnsen_US
dc.subjectCross-sectionen_US
dc.subjectCommon-stocksen_US
dc.subjectMarket valueen_US
dc.subjectEarningsen_US
dc.subjectEconomyen_US
dc.subjectGrowthen_US
dc.subjectCapmen_US
dc.titleRisk and return in a dynamic general equilibrium modelen_US
dc.typeArticleen_US

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