Optimal long-term investment model with memory

被引:5
|
作者
Inoue, Akihiko [1 ]
Nakano, Yumiharu
机构
[1] Hokkaido Univ, Fac Sci, Dept Math, Sapporo, Hokkaido 0600810, Japan
[2] Osaka Univ, Ctr Study Finance & Insurance, Toyonaka, Osaka 5608531, Japan
来源
APPLIED MATHEMATICS AND OPTIMIZATION | 2007年 / 55卷 / 01期
关键词
optimal investment; long-term investment; processes with memory; processes with stationary increments; Riccati equations; large deviations;
D O I
10.1007/s00245-006-0867-0
中图分类号
O29 [应用数学];
学科分类号
070104 ;
摘要
We consider a financial market model driven by an R-n-valued Gaussian process with stationary increments which is different from Brownian motion. This driving-noise process consists of n independent components, and each component has memory described by two parameters. For this market model, we explicitly solve optimal investment problems. These include: (i) Merton's portfolio optimization problem; (ii) the maximization of growth rate of expected utility of wealth over the infinite horizon; (iii) the maximization of the large deviation probability that the wealth grows at a higher rate than a given benchmark. The estimation of parameters is also considered.
引用
收藏
页码:93 / 122
页数:30
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