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dc.contributor.authorRodrigues, Ana Flávia Paiva-
dc.contributor.authorCavalcante, Charles Casimiro-
dc.date.accessioned2022-07-18T17:30:29Z-
dc.date.available2022-07-18T17:30:29Z-
dc.date.issued2018-
dc.identifier.citationCAVALCANTE, C. C.; RODRIGUES, A. F. P. Principal curves for statistical divergences and an application to finance. Entropy, vol. 20, n. 5, p.333, 2018pt_BR
dc.identifier.issn1099-4300-
dc.identifier.urihttp://www.repositorio.ufc.br/handle/riufc/67190-
dc.description.abstractThis paper proposes a method for the beta pricing model under the consideration of non-Gaussian returns by means of a generalization of the mean-variance model and the use of principal curves to define a divergence model for the optimization of the pricing model. We rely on the q-exponential model so consider the properties of the divergences which are used to describe the statistical model and fully characterize the behavior of the assets. We derive the minimum divergence portfolio, which generalizes the Markowitz’s (mean-divergence) approach and relying on the information geometrical aspects of the distributions the Capital Asset Pricing Model (CAPM) is then derived under the geometrical characterization of the distributions which model the data, all by the consideration of principal curves approach. We discuss the possibility of integration of our model into an adaptive procedure that can be used for the search of optimum points on finance applications.pt_BR
dc.language.isoenpt_BR
dc.publisherEntropypt_BR
dc.subjectPrincipal curvespt_BR
dc.subjectInformation geometrypt_BR
dc.subjectDeformed exponentialspt_BR
dc.subjectFinance applicationpt_BR
dc.titlePrincipal curves for statistical divergences and an application to financept_BR
dc.typeArtigo de Periódicopt_BR
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