Decision Making Under Cumulative Prospect Theory: An Alternating Direction Method of Multipliers

被引:1
作者
Cui, Xiangyu [1 ]
Jiang, Rujun [2 ]
Shi, Yun [3 ]
Xiao, Rufeng [2 ]
Yan, Yifan [2 ]
机构
[1] Shanghai Univ Finance & Econ, Dishui Lake Adv Finance Inst, Sch Stat & Management, Shanghai 200437, Peoples R China
[2] Fudan Univ, Sch Data Sci, Shanghai 200433, Peoples R China
[3] East China Normal Univ, Sch Stat, Shanghai 200050, Peoples R China
基金
上海市自然科学基金; 中国国家自然科学基金;
关键词
utility optimization; cumulative prospect theory; alternating direction method of multipliers; dynamic programming; BEHAVIORAL PORTFOLIO SELECTION; CONVEX-FUNCTIONS SUBJECT; ISOTONIC REGRESSION; RISK; ALGORITHM; REPRESENTATION; OPTIMIZATION; CHOICE;
D O I
10.1287/ijoc.2023.0243
中图分类号
TP39 [计算机的应用];
学科分类号
081203 ; 0835 ;
摘要
This paper proposes a novel numerical method for solving the problem of decision making under cumulative prospect theory (CPT), where the goal is to maximize utility subject to practical constraints, assuming only finite realizations of the associated distribution are available. Existing methods for CPT optimization rely on particular assumptions that may not hold in practice. To overcome this limitation, we present the first numerical method with a theoretical guarantee for solving CPT optimization using an alternating direction method of multipliers (ADMM). One of its subproblems involves optimization with the CPT utility subject to a chain constraint, which presents a significant challenge. To address this, we develop two methods for solving this subproblem. The first method uses dynamic programming, whereas the second method is a modified version of the poolingadjacent-violators algorithm that incorporates the CPT utility function. Moreover, we prove the theoretical convergence of our proposed ADMM method and the two subproblemsolving methods. Finally, we conduct numerical experiments to validate our proposed approach and demonstrate how CPT's parameters influence investor behavior, using realworld data.
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页数:18
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