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| | A '''correlation swap''' is an [[over-the-counter (finance)|over-the-counter]] [[financial derivative]] that allows one to [[speculate]] on or [[hedge (finance)|hedge]] [[risks]] associated with the observed average [[correlation]], of a collection of [[underlying]] products, where each product has periodically observable prices, as with a [[commodity]], [[exchange rate]], [[interest rate]], or [[stock index]]. |
| | |
| | == Payoff Definition == |
| | The fixed leg of a correlation swap pays the notional <math>N_{\text{corr}}</math> times the agreed strike <math>\rho_{\text{strike}}</math>, while the floating leg pays the realized correlation <math>\rho_{\text{realized }}</math>. The contract value at expiration from the pay-fixed perspective is therefore |
| | :<math>N_{\text{corr}} (\rho_{\text{realized}}-\rho_{\text{strike}})</math> |
| | |
| | Given a set of nonnegative weights <math>w_i</math> on <math>n</math> securities, the realized correlation is defined as the weighted average of all pairwise correlation coefficients <math>\rho_{i,j}</math>: |
| | :<math>\rho_{\text{realized }} := \frac{\sum_{i\neq j}{w_i w_j \rho_{i,j}}}{\sum_{i\neq j}{w_i w_j}}</math> |
| | Typically <math>\rho_{i,j}</math> would be calculated as the [[Pearson correlation coefficient]] between the daily log-returns of assets ''i'' and ''j'', possibly under zero-mean assumption. |
| | |
| | Most correlation swaps trade using equal weights, in which case the realized correlation formula simplifies to: |
| | :<math>\rho_{\text{realized }} = \frac{2}{n(n-1)}\sum_{i < j}{\rho_{i,j}}</math> |
| | |
| | ==Pricing and valuation== |
| | No industry-standard models yet exist that have stochastic correlation and are [[arbitrage]]-free. |
| | |
| | ==See also== |
| | *[[Variance swap]] |
| | *[[Rainbow option]] |
| | |
| | ==References== |
| | {{Reflist}} |
| | |
| | {{Derivatives market}} |
| | |
| | [[Category:Derivatives (finance)]] |
| | [[Category:Mathematical finance]] |
| | [[Category:Financial economics]] |
| | [[Category:Banking]] |
Revision as of 19:23, 12 November 2013
A correlation swap is an over-the-counter financial derivative that allows one to speculate on or hedge risks associated with the observed average correlation, of a collection of underlying products, where each product has periodically observable prices, as with a commodity, exchange rate, interest rate, or stock index.
Payoff Definition
The fixed leg of a correlation swap pays the notional times the agreed strike , while the floating leg pays the realized correlation . The contract value at expiration from the pay-fixed perspective is therefore
Given a set of nonnegative weights on securities, the realized correlation is defined as the weighted average of all pairwise correlation coefficients :
Typically would be calculated as the Pearson correlation coefficient between the daily log-returns of assets i and j, possibly under zero-mean assumption.
Most correlation swaps trade using equal weights, in which case the realized correlation formula simplifies to:
Pricing and valuation
No industry-standard models yet exist that have stochastic correlation and are arbitrage-free.
See also
References
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