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On the high-frequency dynamics of hedge fund risk exposures

Publication ,  Journal Article
Patton, AJ; Ramadorai, T
Published in: Journal of Finance
April 1, 2013

We propose a new method to model hedge fund risk exposures using relatively high-frequency conditioning variables. In a large sample of funds, we find substantial evidence that hedge fund risk exposures vary across and within months, and that capturing within-month variation is more important for hedge funds than for mutual funds. We consider different within-month functional forms, and uncover patterns such as day-of-the-month variation in risk exposures. We also find that changes in portfolio allocations, rather than in the risk exposures of the underlying assets, are the main drivers of hedge funds' risk exposure variation. © 2013 the American Finance Association.

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Published In

Journal of Finance

DOI

EISSN

1540-6261

ISSN

0022-1082

Publication Date

April 1, 2013

Volume

68

Issue

2

Start / End Page

597 / 635

Related Subject Headings

  • Finance
  • 3801 Applied economics
  • 3502 Banking, finance and investment
  • 1502 Banking, Finance and Investment
 

Citation

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Patton, A. J., & Ramadorai, T. (2013). On the high-frequency dynamics of hedge fund risk exposures. Journal of Finance, 68(2), 597–635. https://doi.org/10.1111/jofi.12008
Patton, A. J., and T. Ramadorai. “On the high-frequency dynamics of hedge fund risk exposures.” Journal of Finance 68, no. 2 (April 1, 2013): 597–635. https://doi.org/10.1111/jofi.12008.
Patton AJ, Ramadorai T. On the high-frequency dynamics of hedge fund risk exposures. Journal of Finance. 2013 Apr 1;68(2):597–635.
Patton, A. J., and T. Ramadorai. “On the high-frequency dynamics of hedge fund risk exposures.” Journal of Finance, vol. 68, no. 2, Apr. 2013, pp. 597–635. Scopus, doi:10.1111/jofi.12008.
Patton AJ, Ramadorai T. On the high-frequency dynamics of hedge fund risk exposures. Journal of Finance. 2013 Apr 1;68(2):597–635.
Journal cover image

Published In

Journal of Finance

DOI

EISSN

1540-6261

ISSN

0022-1082

Publication Date

April 1, 2013

Volume

68

Issue

2

Start / End Page

597 / 635

Related Subject Headings

  • Finance
  • 3801 Applied economics
  • 3502 Banking, finance and investment
  • 1502 Banking, Finance and Investment