Assessing Asset-Liability Risk with Neural Networks

被引:11
作者
Cheridito, Patrick [1 ]
Ery, John [1 ]
Wuethrich, Mario V. [1 ]
机构
[1] Swiss Fed Inst Technol, RiskLab, CH-8092 Zurich, Switzerland
关键词
asset-liability risk; risk capital; solvency calculation; value-at-risk; expected shortfall; neural networks; importance sampling; MULTILAYER FEEDFORWARD NETWORKS; REPLICATING PORTFOLIO; SIMULATION; VALUATION; OPTIONS;
D O I
10.3390/risks8010016
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
We introduce a neural network approach for assessing the risk of a portfolio of assets and liabilities over a given time period. This requires a conditional valuation of the portfolio given the state of the world at a later time, a problem that is particularly challenging if the portfolio contains structured products or complex insurance contracts which do not admit closed form valuation formulas. We illustrate the method on different examples from banking and insurance. We focus on value-at-risk and expected shortfall, but the approach also works for other risk measures.
引用
收藏
页数:17
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