- 1 Introduction
- 2 Simulation Model and DGP
- 2.1 Asset Value Model and Data Generating Process
- 2.2 Simulation of Default Events
- 2.3 Stochastic Asset Correlation
- 3 Methods for Estimating Asset Correlations
- 3.1 Estimation From Stock Prices
- 3.2 Estimation of Asset Correlation From Default Rates
- 4 Comparative Static Analysis
- 4.1 Simulation Setup and Performance Measures
- 4.2 Performance Results of Estimators Based on Default Rates
- 4.3 Performance Results of Estimators Based on Stock Prices
- 4.4 Estimation Performance Under Stochastic Correlations
- 5 Summary and Conclusions
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