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Statistical Arbitrage
   (Pair Trading)

          A pair trade is the taking of a
          long position in one security together
          with an equal short position in
          another that is strongly correlated
          with it. It is   sometimes used to
          refer to multiple long and short
          positions that are similarly matched.
The Elements of Pairs Trading
Overview


    Pairs Trading is the synthesis of 3 basic elements:
    :-The Market Neutral Element:
    Market neutrality is central to pairs trading because it drives how trades are built and analyzed, it defines

     relative risk metrics & it serves as the basis for the overall trading strategy   .
    :- The Arbitrage Element :
       Arbitrage is central to pairs trading because it provides the framework for the success or failure of a
      trade, and, therefore is the basis of absolute risk management

    :- The Technical Analysis Element : Technical analysis is central to pairs trading because it provides
      many of the tools by which a trader may make decisions about both the quality and the timing of any
      potential trade
The Market Neutral Element
Many types of neutrality must be considered:




      Sector or Industry Neutrality:
      A pairs trade that crosses sector or industry lines may be statistically attractive, but each leg of the trade is

       acted on by different market forces that may affect the ultimate success of the trade   .
      Market Capitalization Neutrality:
      Pairing stocks with significantly different market caps may leave a trade vulnerable to regular market
      rotations.


       Beta Neutrality :
       Pairing stocks with significantly different betas builds a market direction bet into a trade
       where it may not be wanted. While total beta neutrality is very difficult, a pairs trader must
       always be aware of the betas of the two stocks he or she is pairing
The Market Neutral Element
Share Neutrality vs. Dollar Neutrality:




       Share Neutrality
      The classic “spread” trade
      Not really market-neutral
      Creates situations of proper analysis while still losing money


      Dollar Neutrality
     Pure “pairs” trade
     Assures proper analysis leads to profits
     Example
     Stock A - $10 Stock B - $5
       Share Neutral Spread                                    Dollar Neutral Pair
       Long 1000 Shares A = $10,000                         Long 1000 Shares A = $10,000
       Short 1000 Shares B = $5000                          Short 2000 Shares B = $10,000
Market Falls 20%, Stock A Outperforms
Stock A - $8.50 Stock B - $4



   Long 1000 Shares A = $8,500 :
   Short 1000 Shares B = $4000
   Net = Loss of $500
   Long 1000 Shares A = $8,500
   Short 2000 Shares B = $8,000
   Net = Profit of $500
The Trading Process
Model or Screening Tool




                   Technical
                   Analysis                         Market
                    Element                        Neutral
                                                   Element




                                Arbitrage
                                   Fundamental / Technical Overlays
                                Element




                               Additional Statistical Filters



                               PAIRS PORTFOLIO
Hedge Funds

   Hedge -- if something loses value, something else is to gain in
    value, and vice versa.

   A basic hedging strategy is pairs trading. Involves matching a
    long position with a short position.

   Funds use mathematics and statistics to identify pairs with good
    spread reversion characteristics. Can be done with stocks,
    options, commodities, currencies, etc
How Pairs Trading Works (a)
                                          go short



75
                 go long


                                                           go long
                     go short
     go short                   go long
70
                                                     go short



65     go long
How Pairs Trading Works (b)
                                       liq,goshort

                                       +500

75                    -200                                                      +7300
                    liq,golong                                                     liq

 +7100
     goshort       liq,goshort         liq,golong              +800
                                          +0                 liq,golong
70                  +700
                      +500                 +500              liq,goshort
                                                                                -6700
                                                               -300
 -6500                                                          +500
                                                                                    liq

65 golong                                                                       +500
               Based on historic observations: Mean spread 3.0 with stdev 1.6
          .          Go into action, say, when spread +d or -d stdevs.
                                 Strategy can be optimised.
Product rationale
   Aim to generate returns from a portfolio in an all-seasons environment
    Reduce the “market risk (beta)” by investing in “stocks/derivatives with
    pair trades”
    Pair trades will illustrate our positive and negative convictions in stock
    ideas
   The fund would endeavor to attain market neutrality by means of
    executing pair trades
    Pair trades can be done on stocks and indices
    Basic premise: Aims to “Generate returns” in all market conditions
    An extension of our “active fund management” skills
    Stock selection would generate the returns (alpha) of the fund
Trading & Investment strategies

   Strategy A:
   – Long stock (equity)
   – Short stock futures
   Strategy B:
   – Long stock futures
   – Short stock futures
   Strategy C:
   – Long stock (equity) / stock futures
   – Short index futures
   Strategy D:
   – Long index futures
   – Short stock / futures
   Strategy E (possible due to stock lending, recently allowed by SEBI):
   – Long stock
   – Short stock
Investment philosophy: Portfolio returns

   Situation A: Stock A – long stock futures; stock B – short stock futures
   – Post trade, price of stock A goes up and post trade, price of stock B goes down
   – This is a best case scenario, where such trades will result in profits in both the legs of the trade
   resulting in profit
    Situation B: Stock A – long stock futures; stock B – short stock futures
   – Post trade, price of stock A goes up more than stock B
   – Relative out performance of stock A compared with stock B
    Situation C: Stock A – long stock futures; stock B – short stock futures
   – Post trade, price of stock A goes down less than stock B
   – Relative out performance of stock B compared with stock A
    Situation D: Stock A – long stock futures; stock B – short stock futures
   – Post trade, price of stock A goes down while stock B goes up (worst case scenario)
   – Trade going the other way
The next four slides are for illustration purpose only
These are not stock recommendations



     Examples of pair trade
Jspl vs. tata steel
   Trade: Buy JSPL; Sell Tata Steel
   Logic: While downcycle in steel would impact both the stocks, JSPL will likely be better off due to its
   power business which has started contributing significantly to earnings and cash flows.
   Returns: Approx. 4.5% absolute returns over a period of 11 days
Trade: Buy GVK; Sell GMR
   Logic: Funds constraints faced by GMR and lack of avenues to raise funds will hamper many of their
   projects. GVK has a lower debt and not in immediate need of funds. Also, relative valuation of GVK
   better than GMR leading to expectation of relative out-performance.
   Returns: Approx. 20% absolute returns in 12 days
Trade: Buy India Bulls Real Estate; Sell DLF


   Logic: IBREL was trading close to cash on the books while DLF due to recent run up in a tough macro
   environment was relatively expensive. However, we had to close the trade when DLF stock price shot up
   on rumors of DLF having arranged funding for DAL (DLF Assets) which would have taken care of funding
   constraints.
   Returns: Approx. absolute (-) 5% returns in 5 days
Applying Pairs Techniques to Futures Trading


Analyzing Similar Commodity Types:
Futures with similar characteristics
      Futures on Stock Indices
      Energy Complex
      Agricultural commodities
      Interest Rate Futures
      Precious Metals
      Currencies
Futures with inverse relationships
      Gold and the U.S. Dollar
      Stock Index Futures and Interest Rate Future in Certain Economic Environments
      Some Currencies
The Euro Currency
    Analyzing Similar Commodity Types




    Swiss Franc
Analyzing Similar Commodity Types




   Ratio of the Euro divided by the Swiss Franc
Crude Oil Futures
       Analyzing Similar Commodity Types




  Heating Oil Futures
Analyzing Similar Commodity Types


   Ratio of Crude Oil divided by Heating Oil
Thanks

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Statistical Arbitrage Pairs Trading

  • 1. Statistical Arbitrage (Pair Trading) A pair trade is the taking of a long position in one security together with an equal short position in another that is strongly correlated with it. It is sometimes used to refer to multiple long and short positions that are similarly matched.
  • 2. The Elements of Pairs Trading Overview  Pairs Trading is the synthesis of 3 basic elements:  :-The Market Neutral Element: Market neutrality is central to pairs trading because it drives how trades are built and analyzed, it defines relative risk metrics & it serves as the basis for the overall trading strategy . :- The Arbitrage Element : Arbitrage is central to pairs trading because it provides the framework for the success or failure of a trade, and, therefore is the basis of absolute risk management :- The Technical Analysis Element : Technical analysis is central to pairs trading because it provides many of the tools by which a trader may make decisions about both the quality and the timing of any potential trade
  • 3. The Market Neutral Element Many types of neutrality must be considered: Sector or Industry Neutrality: A pairs trade that crosses sector or industry lines may be statistically attractive, but each leg of the trade is acted on by different market forces that may affect the ultimate success of the trade . Market Capitalization Neutrality: Pairing stocks with significantly different market caps may leave a trade vulnerable to regular market rotations. Beta Neutrality : Pairing stocks with significantly different betas builds a market direction bet into a trade where it may not be wanted. While total beta neutrality is very difficult, a pairs trader must always be aware of the betas of the two stocks he or she is pairing
  • 4. The Market Neutral Element Share Neutrality vs. Dollar Neutrality: Share Neutrality The classic “spread” trade Not really market-neutral Creates situations of proper analysis while still losing money Dollar Neutrality Pure “pairs” trade Assures proper analysis leads to profits Example Stock A - $10 Stock B - $5  Share Neutral Spread Dollar Neutral Pair  Long 1000 Shares A = $10,000 Long 1000 Shares A = $10,000 Short 1000 Shares B = $5000 Short 2000 Shares B = $10,000
  • 5. Market Falls 20%, Stock A Outperforms Stock A - $8.50 Stock B - $4  Long 1000 Shares A = $8,500 :  Short 1000 Shares B = $4000  Net = Loss of $500  Long 1000 Shares A = $8,500  Short 2000 Shares B = $8,000  Net = Profit of $500
  • 6. The Trading Process Model or Screening Tool Technical Analysis Market Element Neutral Element Arbitrage Fundamental / Technical Overlays Element Additional Statistical Filters PAIRS PORTFOLIO
  • 7. Hedge Funds  Hedge -- if something loses value, something else is to gain in value, and vice versa.  A basic hedging strategy is pairs trading. Involves matching a long position with a short position.  Funds use mathematics and statistics to identify pairs with good spread reversion characteristics. Can be done with stocks, options, commodities, currencies, etc
  • 8. How Pairs Trading Works (a) go short 75 go long go long go short go short go long 70 go short 65 go long
  • 9. How Pairs Trading Works (b) liq,goshort +500 75 -200 +7300 liq,golong liq +7100 goshort liq,goshort liq,golong +800 +0 liq,golong 70 +700 +500 +500 liq,goshort -6700 -300 -6500 +500 liq 65 golong +500 Based on historic observations: Mean spread 3.0 with stdev 1.6 . Go into action, say, when spread +d or -d stdevs. Strategy can be optimised.
  • 10. Product rationale  Aim to generate returns from a portfolio in an all-seasons environment  Reduce the “market risk (beta)” by investing in “stocks/derivatives with pair trades”  Pair trades will illustrate our positive and negative convictions in stock ideas  The fund would endeavor to attain market neutrality by means of executing pair trades  Pair trades can be done on stocks and indices  Basic premise: Aims to “Generate returns” in all market conditions  An extension of our “active fund management” skills  Stock selection would generate the returns (alpha) of the fund
  • 11. Trading & Investment strategies  Strategy A:  – Long stock (equity)  – Short stock futures  Strategy B:  – Long stock futures  – Short stock futures  Strategy C:  – Long stock (equity) / stock futures  – Short index futures  Strategy D:  – Long index futures  – Short stock / futures  Strategy E (possible due to stock lending, recently allowed by SEBI):  – Long stock  – Short stock
  • 12. Investment philosophy: Portfolio returns  Situation A: Stock A – long stock futures; stock B – short stock futures  – Post trade, price of stock A goes up and post trade, price of stock B goes down  – This is a best case scenario, where such trades will result in profits in both the legs of the trade  resulting in profit  Situation B: Stock A – long stock futures; stock B – short stock futures  – Post trade, price of stock A goes up more than stock B  – Relative out performance of stock A compared with stock B  Situation C: Stock A – long stock futures; stock B – short stock futures  – Post trade, price of stock A goes down less than stock B  – Relative out performance of stock B compared with stock A  Situation D: Stock A – long stock futures; stock B – short stock futures  – Post trade, price of stock A goes down while stock B goes up (worst case scenario)  – Trade going the other way
  • 13. The next four slides are for illustration purpose only These are not stock recommendations  Examples of pair trade
  • 14. Jspl vs. tata steel  Trade: Buy JSPL; Sell Tata Steel  Logic: While downcycle in steel would impact both the stocks, JSPL will likely be better off due to its  power business which has started contributing significantly to earnings and cash flows.  Returns: Approx. 4.5% absolute returns over a period of 11 days
  • 15. Trade: Buy GVK; Sell GMR  Logic: Funds constraints faced by GMR and lack of avenues to raise funds will hamper many of their  projects. GVK has a lower debt and not in immediate need of funds. Also, relative valuation of GVK  better than GMR leading to expectation of relative out-performance.  Returns: Approx. 20% absolute returns in 12 days
  • 16. Trade: Buy India Bulls Real Estate; Sell DLF  Logic: IBREL was trading close to cash on the books while DLF due to recent run up in a tough macro  environment was relatively expensive. However, we had to close the trade when DLF stock price shot up  on rumors of DLF having arranged funding for DAL (DLF Assets) which would have taken care of funding  constraints.  Returns: Approx. absolute (-) 5% returns in 5 days
  • 17. Applying Pairs Techniques to Futures Trading Analyzing Similar Commodity Types: Futures with similar characteristics  Futures on Stock Indices  Energy Complex  Agricultural commodities  Interest Rate Futures  Precious Metals  Currencies Futures with inverse relationships  Gold and the U.S. Dollar  Stock Index Futures and Interest Rate Future in Certain Economic Environments  Some Currencies
  • 18. The Euro Currency Analyzing Similar Commodity Types Swiss Franc
  • 19. Analyzing Similar Commodity Types  Ratio of the Euro divided by the Swiss Franc
  • 20. Crude Oil Futures Analyzing Similar Commodity Types Heating Oil Futures
  • 21. Analyzing Similar Commodity Types  Ratio of Crude Oil divided by Heating Oil