Learning equilibrium mean‐variance strategy

Author:

Dai Min1ORCID,Dong Yuchao2ORCID,Jia Yanwei34ORCID

Affiliation:

1. Department of Applied Mathematics, Faculty of Science, and School of Accounting and Finance, Faculty of Business The Hong Kong Polytechnic University Hung Hom Kowloon Hong Kong

2. School of Mathematical Sciences Tongji University Shanghai China

3. Department of Industrial Engineering and Operations Research Columbia University New York New York USA

4. Department of Systems Engineering and Engineering Management The Chinese University of Hong Kong Shatin NT Hong Kong

Abstract

AbstractWe study a dynamic mean‐variance portfolio optimization problem under the reinforcement learning framework, where an entropy regularizer is introduced to induce exploration. Due to the time–inconsistency involved in a mean‐variance criterion, we aim to learn an equilibrium policy. Under an incomplete market setting, we obtain a semi‐analytical, exploratory, equilibrium mean‐variance policy that turns out to follow a Gaussian distribution. We then focus on a Gaussian mean return model and propose a reinforcement learning algorithm to find the equilibrium policy. Thanks to a thoroughly designed policy iteration procedure in our algorithm, we prove the convergence of our algorithm under mild conditions, despite that dynamic programming principle and the usual policy improvement theorem failing to hold for an equilibrium policy. Numerical experiments are given to demonstrate our algorithm. The design and implementation of our reinforcement learning algorithm apply to a general market setup.

Funder

Hong Kong Polytechnic University

National Natural Science Foundation of China

Publisher

Wiley

Subject

Applied Mathematics,Economics and Econometrics,Social Sciences (miscellaneous),Finance,Accounting

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