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基于4/2随机波动率模型考虑错误定价和保费退还条款的DC型养老金计划的均衡投资策略
卢嘉鑫,董华
Equilibrium Investment Strategy of DC Pension Plan with Mispricing and Return of Premiums Clauses Under the 4/2 Stochastic Volatility Model
Jiaxin Lu,Hua Dong
图 2
参数
γ
和
m
对最优投资策略
π
∗
m
的影响