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Time-inconsistent reinsurance and investment optimization problem with delay under random risk aversion (2509.15506v1)

Published 19 Sep 2025 in math.OC

Abstract: This paper considers a newly delayed reinsurance and investment optimization problem incorporating random risk aversion, in which an insurer pursues maximization of the expected certainty equivalent of her/his terminal wealth and the cumulative delayed information of the wealth over a period. Specially, the insurer's surplus dynamics are approximated using a drifted Brownian motion, while the financial market is described by the Black-Scholes model. Moreover, the performance-linked capital flow feature is incorporated and the wealth process is formulated via a stochastic delay differential equation (SDDE). By adopting a game-theoretic approach, a verification theorem with rigorous proofs is established to capture the equilibrium reinsurance and investment strategy along with the equilibrium value function. Furthermore, for the cases of exponential utility and power utility, analytical or semi-analytical equilibrium reinsurance and investment strategies together with their equilibrium value functions are obtained under mild conditions. Finally, several numerical experiments are conducted to analyze the behavioral characteristics of the freshly-derived equilibrium reinsurance and investment strategy.

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