Recent Findings in Insurance Economics Described by Researchers from University of Waterloo (Optimal hedging with basis risk under mean-variance... - Insurance News | InsuranceNewsNet

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September 1, 2017 Newswires
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Recent Findings in Insurance Economics Described by Researchers from University of Waterloo (Optimal hedging with basis risk under mean-variance…

Insurance Weekly News

Recent Findings in Insurance Economics Described by Researchers from University of Waterloo (Optimal hedging with basis risk under mean-variance criterion)

By a News Reporter-Staff News Editor at Insurance Weekly News -- Current study results on Economics - Insurance Economics have been published. According to news reporting originating from Waterloo, Canada, by VerticalNews correspondents, research stated, "Basis risk occurs naturally in a number of financial and insurance risk management problems. A notable example is in the context of hedging a derivative where the underlying security is either non-tradable or not sufficiently liquid."

Our news editors obtained a quote from the research from the University of Waterloo, "Other examples include hedging longevity risk using index-based longevity instrument and hedging crop yields using weather derivatives. These applications give rise to basis risk and it is imperative that such a risk needs to be taken into consideration for the adopted hedging strategy. In this paper, we consider the problem of hedging a European option using another correlated and liquidly traded asset and we investigate an optimal construction of hedging portfolio involving such an asset. The mean-variance criterion is adopted to evaluate the hedging performance, and a subgame Nash equilibrium is used to define the optimal solution. The problem is solved by resorting to a dynamic programming procedure and a change-of-measure technique. A closed-form optimal control process is obtained under a diffusion model setup. The solution we obtain is highly tractable and to the best of our knowledge, this is the first time the analytical solution exists for dynamic hedging of general European options with basis risk under the mean-variance criterion."

According to the news editors, the research concluded: "Examples on hedging European call options are presented to foster the feasibility and importance of our optimal hedging strategy in the presence of basis risk."

For more information on this research see: Optimal hedging with basis risk under mean-variance criterion. Insurance Mathematics & Economics, 2017;75():1-15. Insurance Mathematics & Economics can be contacted at: Elsevier Science Bv, PO Box 211, 1000 Ae Amsterdam, Netherlands.

The news editors report that additional information may be obtained by contacting C.G. Weng, University of Waterloo, Dept. of Stat & Actuarial Sci, Waterloo, ON, Canada. Additional authors for this research include K.S. Tan and J.G. Zhang.

Keywords for this news article include: Waterloo, Ontario, Canada, North and Central America, Insurance Economics, Economics, University of Waterloo.

Our reports deliver fact-based news of research and discoveries from around the world. Copyright 2017, NewsRx LLC

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