Investments, tenth edition



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  Expected Shortfall 

 When we assess tail risk by looking at the 5% worst-case scenarios, the VaR is the most 

optimistic measure of risk as it takes the highest return (smallest loss) of all these cases. A 

more realistic view of downside exposure would focus instead on the  expected  loss given 

that we find ourselves in one of the worst-case scenarios. This value, unfortunately, has 

two names: either    expected  shortfall  (ES)    or    conditional  tail  expectation  (CTE);     the 

latter emphasizes that this expectation is conditioned on being in the left tail of the distri-

bution. ES is the more commonly used terminology. 

 Extending the previous VaR example, we assume equal probabilities for all values. 

Hence, we need to average across the bottom 5% of the observations. We sum the bottom 

4 returns plus 0.2 of the fifth from the bottom, and divide by 4.2 to find ES  5   2 35.94%, 

significantly less than the  2 25.56%  VaR.  

14

  

   




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