Aspects of a Phase Transition in High-Dimensional Random Geometry

被引:0
|
作者
Prueser, Axel [1 ]
Kondor, Imre [2 ,3 ,4 ]
Engel, Andreas [1 ]
机构
[1] Carl von Ossietzky Univ Oldenburg, Inst Phys, D-26111 Oldenburg, Germany
[2] Parmenides Fdn, D-82049 Pullach, Germany
[3] London Math Lab, London W6 8RH, England
[4] Complex Sci Hub, A-1080 Vienna, Austria
关键词
random geometry; portfolio optimization; risk measurement; disordered systems; replica theory; PORTFOLIO OPTIMIZATION; SELECTION;
D O I
10.3390/e23070805
中图分类号
O4 [物理学];
学科分类号
0702 ;
摘要
A phase transition in high-dimensional random geometry is analyzed as it arises in a variety of problems. A prominent example is the feasibility of a minimax problem that represents the extremal case of a class of financial risk measures, among them the current regulatory market risk measure Expected Shortfall. Others include portfolio optimization with a ban on short-selling, the storage capacity of the perceptron, the solvability of a set of linear equations with random coefficients, and competition for resources in an ecological system. These examples shed light on various aspects of the underlying geometric phase transition, create links between problems belonging to seemingly distant fields, and offer the possibility for further ramifications.
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页数:17
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