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dc.contributor.authorPérez Villarino, Joel
dc.contributor.authorLeitao, Álvaro
dc.date.accessioned2022-01-05T12:44:00Z
dc.date.available2022-01-05T12:44:00Z
dc.date.issued2021
dc.identifier.citationPérez Villarino, J.; Leitao Rodríguez, Á. Deep Learning-Based Method for Computing Initial Margin. Eng. Proc. 2021, 7, 41. https://doi.org/10.3390/engproc2021007041es_ES
dc.identifier.urihttp://hdl.handle.net/2183/29314
dc.descriptionPresented at the 4th XoveTIC Conference, A Coruña, Spain, 7–8 October 2021es_ES
dc.description.abstract[Abstract] Following the guidelines of the Basel III agreement (2013), large financial institutions are forced to incorporate additional collateral, known as Initial Margin, in their transactions in OTC markets. Currently, the computation of such collateral is performed following the Standard Initial Margin Model (SIMM) methodology. Focusing on a portfolio consisting of an interest rate swap, we propose the use of Artificial Neural Networks (ANN) to approximate the Initial Margin value of the portfolio over its lifetime. The goal is to find an optimal configuration of structural hyperparameters, as well as to analyze the robustness of the network to variations in the model parameters and swap features.es_ES
dc.language.isoenges_ES
dc.publisherMDPIes_ES
dc.relation.urihttps://doi.org/10.3390/engproc2021007041es_ES
dc.rightsAtribución 3.0 Españaes_ES
dc.rights.urihttp://creativecommons.org/licenses/by/3.0/es/*
dc.subjectComputational financees_ES
dc.subjectColaterales_ES
dc.subjectInitial margines_ES
dc.subjectDeep learninges_ES
dc.titleDeep Learning-Based Method for Computing Initial Margin †es_ES
dc.typeinfo:eu-repo/semantics/conferenceObjectes_ES
dc.rights.accessinfo:eu-repo/semantics/openAccesses_ES
UDC.journalTitleEngineering Proceedingses_ES
UDC.volume7es_ES
UDC.issue1es_ES
UDC.startPage41es_ES
dc.identifier.doi10.3390/engproc2021007041


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