Investments, tenth edition


Size and B/M as Risk Factors



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   Size and B/M as Risk Factors 

 Liew  and  Vassalou  

23

   show that returns 



on style portfolios (HML or SMB) 

seem to predict GDP growth, and 

thus may in fact capture some aspects 

of business cycle risk. Each bar in 

 Figure  13.2  is the average difference 

in the return on the HML or SMB portfolio in years before good GDP growth versus in 

years with poor GDP growth. Positive values mean the portfolio does better in years prior 

to good macroeconomic performance. The predominance of positive values leads them to 

conclude that the returns on the HML and SMB portfolios are positively related to future 

 Figure 13.1 

CAPM versus the Fama and French model. The 

figure plots the average actual returns versus returns predicted 

by CAPM and the FF model for 25 size and book-to-market 

double-sorted portfolios. 

     Source: Amit Goyal, “Empirical Cross Sectional Asset Pricing: A Survey,”  Financial 



Markets and Portfolio Management  26 (2012), pp. 3–38. 

A: CAPM Fit

Actual Return (% per month)

0.0

0.2


Predicted Return from CAPM (% per month)

0.4


0.6

0.8


1.0

1.2


0.0

0.2


0.4

0.6


0.8

1.0


1.2


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