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Portfolio insurance: A simulation under different market conditions - MaRDI portal

Portfolio insurance: A simulation under different market conditions (Q908642)

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scientific article; zbMATH DE number 4135269
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English
Portfolio insurance: A simulation under different market conditions
scientific article; zbMATH DE number 4135269

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    Portfolio insurance: A simulation under different market conditions (English)
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    1990
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    In recent years, considerable interest has arisen over the methods and effects of equity portfolio insurance. The present paper outlines a simple method for implementing portfolio insurance and then reports the results of Monte Carlo simulations based on recent experience in the Australian equities market.
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    option
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    path dependency
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    returns
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    portfolio insurance
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