Optimal dynamic fixed-mix portfolios based on reinforcement learning with second order stochastic dominance

被引:2
|
作者
Consigli, Giorgio [1 ]
Gomez, Alvaro A. [1 ]
Zubelli, Jorge P. [1 ,2 ]
机构
[1] Khalifa Univ Sci & Technol, Dept Math, Abu Dhabi, U Arab Emirates
[2] ADIA LAB, Level 26,Al Khatem Tower, Abu Dhabi, U Arab Emirates
关键词
Fixed-mix portfolios; Stochastic dominance; Reinforcement learning; Actor-critic approach; Deep learning; Stochastic gradient; TRADING SYSTEM; RISK MEASURES; OPTIMIZATION;
D O I
10.1016/j.engappai.2024.108599
中图分类号
TP [自动化技术、计算机技术];
学科分类号
0812 ;
摘要
We propose a reinforcement learning (RL) approach to address a multiperiod optimization problem in which a portfolio manager seeks an optimal constant proportion portfolio strategy by minimizing a tail risk measure consistent with second order stochastic dominance (SSD) principles. As a risk measure, we consider in particular the Interval Conditional Value -at -Risk (ICVaR) shown to be mathematically related to SSD principles. By including the ICVaR in the reward function of an RL method we show that an optimal fixed -mix policy can be derived as solution of short- to medium -term allocation problems through an accurate specification of the learning parameters under general statistical assumptions. The financial optimization problem, thus, carries several novel features and the article details the required steps to accommodate those features within a reinforcement learning architecture. The methodology is tested in- and out -of -sample on market data showing good performance relative to the SP500, adopted as benchmark policy.
引用
收藏
页数:16
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