Importance of Modelling the Dependence for Risk Capital Allocation Abstract
Abstract
Portfolio managers’ first concern is the accuracy of the measurement and the allocation of the risk of the
portfolio. There exists many risk measures in the literature which provide a solution to the former
problem. On the other hand, risk capital allocation provides an efficient portfolio management. It
distributes the diversification benefits among the sub-portfolios. It is known that one of the important
steps of the risk management is the determination of the dependence structure of sub-portfolios. Copula
provides a nice and easy solution to this problem. In this study it is shown that the dependence structure
plays an important role for risk capital allocation and inaccurate selection of copula can create
ineffective allocations
Keywords
References
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Details
Primary Language
English
Subjects
Engineering
Journal Section
Research Article
Authors
Uğur Karabey
*
Türkiye
Publication Date
June 27, 2015
Submission Date
February 3, 2015
Acceptance Date
June 5, 2015
Published in Issue
Year 2015 Volume: 8 Number: 1