COMPARING THE PERFORMANCES OF GARCH-TYPE MODELS IN CAPTURING THE BROAD INDEX VOLATILITY IN DHAKA STOCK EXCHANGE.

Journal Title: International Journal of Advanced Research (IJAR) - Year 2018, Vol 6, Issue 6

Abstract

This study conducted the empirical investigation for the volatility of Broad index of Dhaka stock Exchange (DESX) in Bangladesh. Asymmetric Generalized Autoregressive Conditional Heteroscedastic (GARCH) model was used for DESX index. According to Akaike Information Criterion (AIC) and Bayesian Information Criterion (BIC), GJR-GARCH (1,1) is found to be the most applicable model to capture the asymmetric volatility. Their performances were also compared under statistical error measurement tools, e.g., root mean squared error (RMSE), mean absolute error (MAE), mean absolute percentage error (MAPE), theil inequality coefficient and bias proportion analyses.

Authors and Affiliations

Monimul Huq, Ayub Ali.

Keywords

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  • EP ID EP340919
  • DOI 10.21474/IJAR01/7190
  • Views 43
  • Downloads 0

How To Cite

Monimul Huq, Ayub Ali. (2018). COMPARING THE PERFORMANCES OF GARCH-TYPE MODELS IN CAPTURING THE BROAD INDEX VOLATILITY IN DHAKA STOCK EXCHANGE.. International Journal of Advanced Research (IJAR), 6(6), 81-89. https://europub.co.uk/articles/-A-340919