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Risk Analysis of Collateralized Debt Obligations

Authors
Giesecke, KayKim, Baeho
Issue Date
1월-2011
Publisher
INFORMS
Keywords
Acceptance/rejection sampling; Actual measure; Collateralized debt obligation; Correlated default risk; Exact simulation; Intensity; Point process; Portfolio credit derivative; Resampling; Thinning
Citation
OPERATIONS RESEARCH, v.59, no.1, pp.32 - 49
Indexed
SCIE
SSCI
SCOPUS
Journal Title
OPERATIONS RESEARCH
Volume
59
Number
1
Start Page
32
End Page
49
URI
https://scholar.korea.ac.kr/handle/2021.sw.korea/113439
DOI
10.1287/opre.1100.0864
ISSN
0030-364X
Abstract
Collateralized debt obligations, which are securities with payoffs that are tied to the cash flows in a portfolio of defaultable assets such as corporate bonds, play a significant role in the financial crisis that has spread throughout the world. Insufficient capital provisioning due to flawed and overly optimistic risk assessments is at the center of the problem. This paper develops stochastic methods to measure the risk of positions in collateralized debt obligations and related instruments tied to an underlying portfolio of defaultable assets. It proposes an adaptive point process model of portfolio default timing, a maximum likelihood method for estimating point process models that is based on an acceptance/rejection resampling scheme, and statistical tests for model validation. To illustrate these tools, they are used to estimate the distribution of the profit or loss generated by positions in multiple tranches of a collateralized debt obligation that references the CDX High Yield portfolio and the risk capital required to support these positions.
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