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方差衍生产品定价与控制变量蒙特卡罗方法
引用本文:马俊美,徐承龙,周晶.方差衍生产品定价与控制变量蒙特卡罗方法[J].同济大学学报(自然科学版),2009,37(12).
作者姓名:马俊美  徐承龙  周晶
作者单位:1. 同济大学数学系,上海,200092
2. 同济大学数学系,上海,200092;上海市科学计算E-研究院及上海市科学计算重点实验室,上海,200234
基金项目:国家"九七三"重点基础研究发展计划资助项目,上海市教委E-研究院资助项目 
摘    要:建立了方差互换金融衍生产品的定价模型,基于控制变量技巧,对随机波动率情形下的一类方差互换产品的定价问题,提出了一种有效的蒙特卡罗计算方法.通过进一步的理论分析和高效率控制变量的选取,大大减小了模拟误差,提高了计算效率.最后,对数值结果进行了分析,并考察了影响方差互换产品价格的因素.该计算方法可为其他方差互换衍生产品,如Corridor方差互换、Gamma方差互换和Conditional方差互换等产品以及其他多因子模型假设下的衍生产品定价提供有效思路.

关 键 词:金融衍生产品  方差互换  随机波动率  蒙特卡罗方法  控制变量

Variance Derivatives Pricing and Control Variate Monte Carlo Method
MA Junmei,XU Chenglong and ZHOU Jing.Variance Derivatives Pricing and Control Variate Monte Carlo Method[J].Journal of Tongji University(Natural Science),2009,37(12).
Authors:MA Junmei  XU Chenglong and ZHOU Jing
Institution:Mathematics Department of Tongji University, Shanghai 200092, China;Mathematics Department of Tongji University, Shanghai 200092, China; Shanghai E Institute of Scientific Computing and Shanghai Key Laboratory of Scientific Computing, Shanghai 200234, China;Mathematics Department of Tongji University, Shanghai 200092, China
Abstract:The paper presents an efficient Monte Carlo method on the basis of the Control Variate technique for valuation of the Variance Swap derivatives under the stochastic volatility assumption. The result shows that the method can reduce variance efficiently and improve precision obviously by choosing an efficient control variate testified with the computation results. Finally, a study is also made of the factors affecting the price of the Variance Swap. The method can also be applied to the other valuation of Variance Swaps, such as Corridor Variance Swap, Gamma Variance Swap, Conditional Variance Swap and other products with multi-factor models.
Keywords:derivatives  variance swap  stochastic volatility  Monte Carlo method  control variate
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