Market risk analysis of the non-financial sectors in Malaysia
The objective of this study is to compare Value-at-Risk (VaR) numbers and behaviour patterns among non-financial sectors in Malaysia. The study applies the VaR full valuation approach namely the Monte Carlo Simulation (MCS) that are integrated with GARCH-based models as one of the parameter. The res...
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my.umk.eprints.81012022-05-23T10:25:17Z http://discol.umk.edu.my/id/eprint/8101/ Market risk analysis of the non-financial sectors in Malaysia Zatul Karamah Ahmad Baharul Ulum Ismail Ahmad Norhana Salamudin The objective of this study is to compare Value-at-Risk (VaR) numbers and behaviour patterns among non-financial sectors in Malaysia. The study applies the VaR full valuation approach namely the Monte Carlo Simulation (MCS) that are integrated with GARCH-based models as one of the parameter. The results indicate that the mining sector is most volatile while plantation sector has the lowest risk in most circumstances as both the holding period and confidence level increases. The study also provides further evidences to existing literatures, which identify traditional economic sectors of a country, whether can generate the highest or the lowest level of risk. Non-Indexed Article NonPeerReviewed Zatul Karamah Ahmad Baharul Ulum and Ismail Ahmad and Norhana Salamudin Market risk analysis of the non-financial sectors in Malaysia. Journal of Asian Academic Applied of Business, 7. pp. 15-25. ISSN 1675-9869 http://www.aaab.my/jaaab1/index_htm_files/03_Zatul%20et%20al_Market%20Risk%20Analysis%20of%20the%20Non-Financial%20Sectors%20in%20Malaysia.pdf |
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The objective of this study is to compare Value-at-Risk (VaR) numbers and behaviour patterns among non-financial sectors in Malaysia. The study applies the VaR full valuation approach namely the Monte Carlo Simulation (MCS) that are integrated with GARCH-based models as one of the parameter. The results indicate that the mining sector is most volatile while plantation sector has the lowest risk in most circumstances as both the holding period and confidence level increases. The study
also provides further evidences to existing literatures, which identify traditional economic sectors of a country, whether can generate the highest or the lowest level of risk. |
format |
Non-Indexed Article |
author |
Zatul Karamah Ahmad Baharul Ulum Ismail Ahmad Norhana Salamudin |
spellingShingle |
Zatul Karamah Ahmad Baharul Ulum Ismail Ahmad Norhana Salamudin Market risk analysis of the non-financial sectors in Malaysia |
author_facet |
Zatul Karamah Ahmad Baharul Ulum Ismail Ahmad Norhana Salamudin |
author_sort |
Zatul Karamah Ahmad Baharul Ulum |
title |
Market risk analysis of the non-financial sectors in Malaysia |
title_short |
Market risk analysis of the non-financial sectors in Malaysia |
title_full |
Market risk analysis of the non-financial sectors in Malaysia |
title_fullStr |
Market risk analysis of the non-financial sectors in Malaysia |
title_full_unstemmed |
Market risk analysis of the non-financial sectors in Malaysia |
title_sort |
market risk analysis of the non-financial sectors in malaysia |
url |
http://discol.umk.edu.my/id/eprint/8101/ http://www.aaab.my/jaaab1/index_htm_files/03_Zatul%20et%20al_Market%20Risk%20Analysis%20of%20the%20Non-Financial%20Sectors%20in%20Malaysia.pdf |
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