Financial Risks of Business Management of Cryptocurrency Operations

Author:

Sherifi Idaver1,Lebid Olesia2,Goncharova Olga3,Drobyazko Svetlana4,Sidko Inna5

Affiliation:

1. Western Balkans University, Tirana, Albania

2. Simon Kuznets Kharkiv National University of Economics, Kharkiv, Ukraine

3. Kyiv National Economic University named after Vadym Hetman, Kyiv, Ukraine

4. European Academy of Sciences Ltd, London, United Kingdom

5. International Technological University «Mykolayiv Polytechnics», Mykolayiv, Ukraine

Abstract

Bitcoin is an asset with high risks, and a significant part of its volatility can be explained by the speculative component. Parametric variance-covariance (VaR) methods are not applicable for assessing the risks of bitcoin investment, since log returns are not distributed according to the normal law. Autoregressive risk assessment models (such as ARIMA-GARCH) for bitcoin volatility overestimate risks at times of sharp exchange rate changes and they underestimate them at times of less significant rate changes compared to historical volatility. The grid search for the smoothing parameter in the exponentially weighted moving average method is potentially interesting for modeling the risks of bitcoin investment. This makes it possible to fully take into account the autocorrelation of the bitcoin rate to the levels of previous periods and the volatility of the asset. As a conclusion, there are currently no econometric models that can explain and forecast the volatility of bitcoin in the medium and short term, considering the available factors in the market.

Publisher

Association for Information Communication Technology Education and Science (UIKTEN)

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