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Cited 32 time in webofscience Cited 39 time in scopus
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Crude oil and stock markets: Causal relationships in tails?

Authors
Ding, HaoyuanKim, Hyung-GunPark, Sung-yong
Issue Date
Sep-2016
Publisher
ELSEVIER SCIENCE BV
Keywords
Crude oil returns; Stock returns; Causality; Quantile regression
Citation
ENERGY ECONOMICS, v.59, pp 58 - 69
Pages
12
Journal Title
ENERGY ECONOMICS
Volume
59
Start Page
58
End Page
69
URI
https://scholarworks.bwise.kr/cau/handle/2019.sw.cau/6601
DOI
10.1016/j.eneco.2016.07.013
ISSN
0140-9883
1873-6181
Abstract
This paper considers the causal relationships between WTI and Dubai crude oil returns and five stock index returns (S&P 500, Nikkei, Hang Seng, Shanghai, and KOSPI) within the quantile causality framework by using daily data for a period from January 1, 1996, to October 12, 2012. The quantile causality test is useful for a comprehensive understanding of the causal relationship between two returns. The test reveals several noteworthy results. First, although WTI returns are not closely related to Asian countries, some financial markets such as Nikkei and Hang Seng Granger-cause WTI returns. Second, the significance of causality from one market to another derives only from lower and upper levels of quantiles except for the case of causality from Nikkei to WTI returns. Third, all stock index returns Granger-cause Dubai crude oil returns over almost all quantile levels except for Shanghai returns. Fourth, Dubai crude oil returns Granger-cause all Asian stock index returns except for S&P 500 returns. Finally, the results indicate asymmetric causality from Dubai crude oil returns to Shanghai returns and KOSPI returns to Dubai crude oil returns. (C) 2016 Elsevier B.V. All rights reserved.
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경영경제대학 (경제학부(서울))
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