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research article

Replicating portfolio approach to capital calculation

Cambou, Mathieu  
•
Filipović, Damir
January 1, 2018
Finance and Stochastics

The replicating portfolio (RP) approach to the calculation of capital for life insurance portfolios is an industry standard. The RP is obtained from projecting the terminal loss of discounted asset–liability cash flows on a set of factors generated by a family of financial instruments that can be efficiently simulated. We provide the mathematical foundations and a novel dynamic and path-dependent RP approach for real-world and risk-neutral sampling. We show that our RP approach yields asymptotically consistent capital estimators if the chaotic representation property holds. We illustrate the tractability of the RP approach by three numerical examples.

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Type
research article
DOI
10.1007/s00780-017-0347-1
Author(s)
Cambou, Mathieu  
Filipović, Damir
Date Issued

2018-01-01

Published in
Finance and Stochastics
Volume

22

Issue

1

Start page

181

End page

203

Subjects

Asset–liability portfolio

•

Chaos expansion

•

Replicating portfolio

•

Solvency capital

URL

Finance and Stochastics

https://link.springer.com/article/10.1007/s00780-017-0347-1
Editorial or Peer reviewed

REVIEWED

Written at

EPFL

EPFL units
CSF  
Available on Infoscience
October 15, 2018
Use this identifier to reference this record
https://infoscience.epfl.ch/handle/20.500.14299/148825
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