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NEW MODELS AND METHODS IN DYNAMIC PORTFOLIO OPTIMIZATION - Bo Lijun

English
2025-06-15
€167.21 €238.87

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This book presents some new models and methods in the context of dynamical portfolio optimization. It encapsulates the authors' recent progress in their research on several interesting, featured issues of dynamic portfolio optimization problems with default contagion, tracking benchmark, consumption habit, and model uncertainty.For the sake of the reader's convenience, preliminary knowledge on stochastic an ... Full description

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Description

This book presents some new models and methods in the context of dynamical portfolio optimization. It encapsulates the authors' recent progress in their research on several interesting, featured issues of dynamic portfolio optimization problems with default contagion, tracking benchmark, consumption habit, and model uncertainty.For the sake of the reader's convenience, preliminary knowledge on stochastic analysis and stochastic control are summarized in Chapters 2 and 3, which also serve as a brief basic introduction to the theory of SDEs, BSDEs, and the theory of optimal stochastic control.The book will be a good reference for graduate students and researchers working on stochastic control and mathematical finance. The reader may pursue some presented research problems and be inspired to formulate and study other new and interesting problems in dynamic portfolio optimization and beyond.

More Information

Author Bo Lijun
Publisher World Scientific Publishing Company
Release year 2025
Cover type Hardcover
EAN 9789811280566
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€167.21 €238.87