Portfolio optimization based on network topology

被引:47
|
作者
Li, Yan [1 ]
Jiang, Xiong-Fei [2 ]
Tian, Yue [1 ]
Li, Sai-Ping [3 ]
Zheng, Bo [1 ,4 ]
机构
[1] Zhejiang Univ, Dept Phys, Hangzhou 310027, Zhejiang, Peoples R China
[2] Ningbo Univ Finance & Econ, Coll Informat Engn, Ningbo 315175, Zhejiang, Peoples R China
[3] Acad Sinica, Inst Phys, Taipei 115, Taiwan
[4] Collaborat Innovat Ctr Adv Microstruct, Nanjing 210093, Jiangsu, Peoples R China
关键词
Dynamic complex networks; Topological structures; Portfolio optimization; Econophysics; CORRELATION-MATRICES; COMPLEXITY; STABILITY; PRICE;
D O I
10.1016/j.physa.2018.10.014
中图分类号
O4 [物理学];
学科分类号
0702 ;
摘要
The structure and dynamics of complex network systems are of current research interest. We illustrate the dependency between the network topology and its function, considering the complex financial network as a typical example. The networks are built from the full cross-correlation matrix and the global-motion one respectively, aiming at filtering the noise interference of the dynamic networks and understanding the driving mechanism of different interactions. Dynamic structural features of the core and periphery nodes are investigated, and it is demonstrated that the peripherality in a network can be used as an indicator for identifying the optimal assets. With the network filtering approach and peripherality measure, portfolios with different performances are constructed. Compared to the full cross-correlation matrix, the global-motion one shows significant advantages in the portfolio optimization, and the underlying mechanism is carefully analyzed. These methods are also with potential significance to the understanding of other social, biological and transport systems. (C) 2018 Elsevier B.V. All rights reserved.
引用
收藏
页码:671 / 681
页数:11
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