A copula-based model for air pollution portfolio risk and its efficient simulation

被引:6
|
作者
Sak, Halis [1 ,2 ]
Yang, Guanyu [2 ]
Li, Bailiang [3 ]
Li, Weifeng [4 ]
机构
[1] Xian Jiaotong Liverpool Univ, Int Business Sch Suzhou, Suzhou, Peoples R China
[2] Xian Jiaotong Liverpool Univ, Dept Math Sci, Suzhou, Peoples R China
[3] Xian Jiaotong Liverpool Univ, Dept Environm Sci, Suzhou, Peoples R China
[4] Univ Hong Kong, Dept Urban Planning & Design, Hong Kong, Hong Kong, Peoples R China
关键词
Risk management; Pollution risk; Stratified importance sampling; t-Copula; DISTRIBUTIONS; MORTALITY;
D O I
10.1007/s00477-017-1403-2
中图分类号
X [环境科学、安全科学];
学科分类号
08 ; 0830 ;
摘要
This paper introduces a portfolio approach for quantifying pollution risk in the presence of PM concentration in cities. The model used is based on a copula dependence structure. For assessing model parameters, we analyze a limited data set of PM levels of Beijing, Tianjin, Chengde, Hengshui, and Xingtai. This process reveals a better fit for the t-copula dependence structure with generalized hyperbolic marginal distributions for the PM log-ratios of the cities. Furthermore, we show how to efficiently simulate risk measures clean-air-at-risk and conditional clean-air-at-risk using importance sampling and stratified importance sampling. Our numerical results show that clean-air-at-risk at 0.01 probability level reaches up to (initial PM concentrations of cities are assumed to be ) for the constructed sample portfolio, and that the proposed methods are much more efficient than a naive simulation for computing the exceeding probabilities and conditional excesses.
引用
收藏
页码:2607 / 2616
页数:10
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