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We propose the use of a mean quadratic variation criteria to determine an optimal trading strategy in the presence of price impact. We derive the Hamilton Jacobi Bellman (HJB) Partial Differential Equation (PDE) for the optimal strategy, assuming the underlying asset follows Geometric Brownian...
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A jump diffusion model coupled with a local volatility function has been suggested by Andersen and Andreasen (2000). By generating a set of option prices assuming a jump diffusion with known parameters, we investigate two crucial challenges intrinsic to this type of model: calibration of...
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In this article, an extensive study of the no-arbitrage fee for Guaranteed Minimum Withdrawal Benefit (GMWB) variable annuity riders is carried out. The value of the GMWB guarantee increases substantially when taking into account the separation of mutual fund fees and the fees earmarked for...
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We solve the optimal asset allocation problem using a mean variance approach. The original mean variance optimization problem can be embedded into a class of auxiliary stochastic linear-quadratic (LQ) problems using the method in Zhou and Li (2000) and Li and Ng (2000). We use a finite...
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We develop a numerical scheme for determining the optimal asset allocation strategy for time-consistent, continuous time, mean variance optimization. Any type of constraint can be applied to the investment policy. The optimal policies for time-consistent and pre-commitment strategies are...
Persistent link: https://www.econbiz.de/10008865355
The development of the near wake of a vertical axis wind turbine is investigated by stereoscopic particle image velocimetry. The experiments are conducted in an open-jet wind tunnel on an H-shaped rotor, operated at a tip speed ratio of 4.5 and at an average chord-based Reynolds number of...
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