AayushMandhyan / ML-RL-for-Finance
Code (Jupyter Notebooks) for Coursera - Machine Learning and Reinforcement Learning in Finance Specialization
☆11Updated 5 years ago
Alternatives and similar repositories for ML-RL-for-Finance:
Users that are interested in ML-RL-for-Finance are comparing it to the libraries listed below
- Udacity NANODEGREE Program(Partner with World Quant): Projects designed by industry experts, covering topics from asset management to tra…☆50Updated 3 years ago
- Investment mangement with python coursera from coursera☆28Updated 4 years ago
- Projects are developed for implementing the knowledge gained in the courses studied at World Quant University and meeting the requirement…☆27Updated 5 years ago
- Boston Consulting Group Data Science & Advanced Analytics Virtual Experience Program☆11Updated 4 years ago
- Reinforce Your Career: Machine Learning in Finance. Extend your expertise of algorithms and tools needed to predict financial markets.☆72Updated 2 years ago
- Coursera Financial Engineering and Risk Management Columbia University☆7Updated 4 years ago
- https://www.coursera.org/professional-certificates/google-project-management☆14Updated 3 years ago
- Jupyter notebooks on portfolio construction and analysis - EDHEC☆42Updated 5 years ago
- Including packages that frequently used in quantitative finance field and how to implement classic financial model in Quantopian.☆48Updated 6 years ago
- A Python script to generate buy/sell signals using Simple moving average(SMA) and Exponential moving average(EMA) Crossover Strategy.☆24Updated 4 years ago
- Repository for MScFE, WQU.☆18Updated 4 years ago
- Functions built on material from Columbia's Coursera courses on Financial Engineering and Risk Management (I & II).☆17Updated 7 years ago
- This is a repository for all the lab session in the "Investment Management with Python and Machine Learning Specialization" Offered By ED…☆19Updated 5 years ago
- Notes and exercises for Machine Learning for Trading Specialization Offered by Google Cloud and New York Institute of Finance on Coursera☆37Updated 4 years ago
- Introduction to Portfolio Construction and Analysis with Python - Coursera☆26Updated 4 years ago
- ☆41Updated 2 years ago
- This repo contains materials from the Deeplearning.AI's Practical Data Science Specialization offered by Coursera.☆8Updated 3 years ago
- All Python Code for World Quant University Master degree.☆28Updated 4 years ago
- WorldQuant University MSc in Financial Engineering Projects☆19Updated 2 years ago
- Algorithmic Trading project that examines the Fama-French 3-Factor Model and the Fama-French 5-Factor Model in predicting portfolio retur…☆30Updated 4 years ago
- A dashboard for macroeconomic and stock market data built with Python and Dash.☆30Updated 2 years ago
- This is a clone of Stefan Jansen's repo (https://github.com/stefan-jansen/machine-learning-for-trading) accompanying his book "Hands-On M…☆25Updated 5 years ago
- My quant portfolio leverages quantitative finance and data-driven insights to optimize investment strategies. Using advanced models, stat…☆25Updated last year
- My Data Provider: A minimal multi-exchange data providing project to feed trading algorithms/bots. Built with Python and FastAPI.☆12Updated 10 months ago
- ☆100Updated 2 years ago
- Stocks analysis using python packages☆72Updated 8 months ago
- Monte Carlo option pricing algorithms for vanilla and exotic options☆24Updated 4 years ago
- This notebook is devoted to exploring some aspects of the Capital Asset Pricing Model (CAPM) using Python☆18Updated 5 years ago
- Collections of all quant related questions seen. Most with my own solutions. Comments and new ideas are welcome!☆26Updated 2 years ago
- 😲🤑Method for Investors and Traders to make Buying and Selling Decisions. 😄Fundamental hare Market Analysis is about using Real data to…☆68Updated 4 years ago