发明名称 Systems and methods for portfolio analysis
摘要 In one aspect, the invention comprises a computer-implemented method comprising: (i) electronically receiving data describing one or more risk factors driving volatility of each of a plurality of securities comprised in a specified portfolio; (ii) for each of the plurality of securities, categorizing each of the risk factors as a random variable and identifying a distribution that best fits each risk factor's historical behavior; and generating a return distribution for the security, based on the best fit distributions; and (iii) aggregating the security return distributions to generate a return distribution for the specified portfolio. Other aspects and embodiments comprise analogous software and computer systems.
申请公布号 US8548884(B2) 申请公布日期 2013.10.01
申请号 US20080166578 申请日期 2008.07.02
申请人 MEUCCI ATTILIO;BARCLAYS CAPITAL INC. 发明人 MEUCCI ATTILIO
分类号 G06Q40/00 主分类号 G06Q40/00
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