COMPARING THE SMALL-SAMPLE ESTIMATION ERROR OF CONCEPTUALLY DIFFERENT RISK MEASURES

Author:

AUER BENJAMIN R.123ORCID,SCHUHMACHER FRANK2

Affiliation:

1. Chair of Finance, Brandenburg University of Technology, Cottbus-Senftenberg, Erich-Weinert-Str. 1, 03046 Cottbus, Germany

2. Department of Finance, University of Leipzig, Grimmaische Str. 12, 04109 Leipzig, Germany

3. CESifo Munich, Research Network Area Macro, Money and International Finance, Schackstr. 4, 80539 Munich, Germany

Abstract

Motivated by the need to correctly rank risky alternatives in many investment, insurance and operations research applications, this paper uses a generalized location and scale framework from utility theory to propose a simple but powerful metric for comparing the estimation error of conceptually different risk measures. In an illustrative application, we obtain this metric — the probability that a risk measure ranks two assets falsely in finite samples — via Monte Carlo simulation for fourteen popular measures of risk and different distributional settings. Its results allow us to highlight interesting risk measure properties such as their relative quality under varying degrees of skewness and kurtosis. Because of the generality of our approach, the error probabilities derived for classic risk measures can serve as a benchmark for newly proposed measures seeking to replace the classic ones in decision making. It also supports the identification of the most suitable risk measures for a given distributional environment.

Funder

fritz thyssen stiftung

wissenschaftsförderung der sparkassen-finanzgruppe e.v.

Publisher

World Scientific Pub Co Pte Lt

Subject

General Economics, Econometrics and Finance,Finance

Cited by 1 articles. 订阅此论文施引文献 订阅此论文施引文献,注册后可以免费订阅5篇论文的施引文献,订阅后可以查看论文全部施引文献

1. Unprofitability of food market investments;Managerial and Decision Economics;2022-03-07

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