Optimal portfolio strategy of wealth process: a Lévy process model-based method

被引:0
|
作者
Yi, Haoran [1 ]
Shan, Yuanchuang [1 ]
Shu, Huisheng [1 ]
Zhang, Xuekang [2 ]
机构
[1] Donghua Univ, Coll Sci, Shanghai, Peoples R China
[2] Anhui Polytech Univ, Sch Math Phys & Finance, Wuhu, Peoples R China
基金
中国国家自然科学基金;
关键词
Optimal portfolio; mean-variance criterion; constant elasticity of variance model; jump-diffusion process; OPTIMAL PROPORTIONAL REINSURANCE; TIME-CONSISTENT INVESTMENT; MEAN-VARIANCE INSURERS; MULTIPLE RISKY ASSETS; OF-LOSS REINSURANCE; JUMP-DIFFUSION; CONSTANT ELASTICITY; TRANSACTION COSTS; BLACK-SCHOLES; STOCK-MARKET;
D O I
10.1080/00207721.2023.2301494
中图分类号
TP [自动化技术、计算机技术];
学科分类号
0812 ;
摘要
This paper is concerned with the optimal portfolio problem for a company that can invest in two risky assets, where a novel Levy-process-driven model is constructed to describe the dynamics of the wealth process by using a constant elasticity of variance model and a jump-diffusion process. A delicately designed value function is proposed under the mean-variance criterion to reflect the optimal portfolio for the stochastic volatility model. By using the verification theorem, the desired optimal portfolio strategy is proposed by the solution to certain Hamilton-Jacobi-Bellman equations. Furthermore, the corresponding expressions are achieved by using the stochastic analysis theory. Finally, a numerical simulation example is provided to verify the effectiveness of the proposed optimal portfolio strategy.
引用
收藏
页码:1089 / 1103
页数:15
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