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Currency risk management: simulating the Canadian dollar

Francisco Carrada‐Bravo (WP Carey School of Business, Arizona State University, Tempe, Arizona, USA)
Hassan K. Hosseini (Department of Global Business, Thunderbird, The Garvin School of International Management, Glendale, Arizona, USA)
Lorenzo Fernandez (Department of Finance, Instituto Panamericano de Alta Direccion, Floresta, Mexico)

International Journal of Managerial Finance

ISSN: 1743-9132

Article publication date: 1 January 2006

1446

Abstract

Purpose

The purpose of this article is to investigate the return associated with a Canadian dollar (C$) investment in the USA under passive, random walk, value at risk, and Sharpe ratio strategies.

Design/methodology/approach

To comply with the purpose, this paper used a GARCH model, and used, as basic data, daily C$ exchange rates and weekly US and Canadian interest rates on 90‐day CDs, from January 2 to November 26, 2004.

Findings

The empirical results suggest that currency returns are positively correlated to risk; and that the return provided by the random walk strategy beats the other strategies considered in this paper.

Practical implications

The findings suggest that currency investment is similar to other forms of investment, since it shows a positive relationship between risk and return. It also supports the long‐standing belief that sophisticated strategies do not beat simple‐minded approaches such as a random walk strategy.

Originality/value

This paper uses a utility function to investigate the response of investors to risk and return under different aversion scenarios.

Keywords

Citation

Carrada‐Bravo, F., Hosseini, H.K. and Fernandez, L. (2006), "Currency risk management: simulating the Canadian dollar", International Journal of Managerial Finance, Vol. 2 No. 1, pp. 77-90. https://doi.org/10.1108/17439130610646171

Publisher

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Emerald Group Publishing Limited

Copyright © 2006, Emerald Group Publishing Limited

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