• Title of article

    Oil prices, stock markets and portfolio investment: Evidence from sector analysis in Europe over the last decade

  • Author/Authors

    Mohamed El Hedi Arouri، نويسنده , , Duc Khuong Nguyen، نويسنده ,

  • Issue Information
    ماهنامه با شماره پیاپی سال 2010
  • Pages
    12
  • From page
    4528
  • To page
    4539
  • Abstract
    This article extends the understanding of oil–stock market relationships over the last turbulent decade. Unlike previous empirical investigations, which have largely focused on broad-based market indices (national and/or regional indices), we examine short-term linkages in the aggregate as well as sector by sector levels in Europe using different econometric techniques. Our main findings suggest that the reactions of stock returns to oil price changes differ greatly depending on the activity sector. In the out-of-sample analysis we show that introducing oil asset into a diversified portfolio of stocks allows to significantly improve its risk-return characteristics.
  • Keywords
    Oil and sector returns , Portfolio management , Short-term analysis
  • Journal title
    Energy Policy
  • Serial Year
    2010
  • Journal title
    Energy Policy
  • Record number

    969927