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Corrected XVA Modelling Framework and Formulae for KVA and MVA

2018-07-28

We discuss and clarify the XVA modelling framework specified in the paper "MVA by replication and regression" (Risk Magazine, May 2015) for including bilateral credit risk and funding costs in derivative pricing, and in doing so we rectify two key errors in the valuation adjustments accounting for costs of capital and initial margin, and present corrected formulae for KVA and MVA.

📄 PDF Abstract BibTeX arXiv:1807.10924

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