BessieChen / Python-for-Financial-Analysis-and-Algorithmic-TradingLinks
Including packages that frequently used in quantitative finance field and how to implement classic financial model in Quantopian.
☆47Updated 6 years ago
Alternatives and similar repositories for Python-for-Financial-Analysis-and-Algorithmic-Trading
Users that are interested in Python-for-Financial-Analysis-and-Algorithmic-Trading are comparing it to the libraries listed below
Sorting:
- Notes and examples about Portfolio Construction and Analysis with Python (Jupyter notebooks)☆190Updated last year
- Jupyter notebooks on portfolio construction and analysis - EDHEC☆43Updated 5 years ago
- Projects are developed for implementing the knowledge gained in the courses studied at World Quant University and meeting the requirement…☆29Updated 5 years ago
- ☆174Updated last year
- This repository is the result of our work for the course CSCI-SHU 360 Machine Learning☆65Updated 4 years ago
- A python application, that demonstrates optimizing a portfolio using machine learning.☆100Updated last year
- Python for Portfolio Optimization: The Ascent! First working lessons to ascend the hilly terrain of Portfolio Optimization in seven strid…☆85Updated 5 years ago
- Sources codes for: Mastering Python for Finance, Second Edition☆423Updated 3 weeks ago
- Repository containing the code for a pairs trading investment strategy (Master Thesis in Electrical and Computer Engineering - Técnico Li…☆166Updated 5 years ago
- Python codes used in book 'Option Greeks Strategies & Backtesting in Python'☆143Updated 4 years ago
- Stock Fundamental Analysis using Machine Learning Classification Models☆104Updated 3 years ago
- ☆154Updated last year
- Using Technical, Fundamental, and Sentimental Analysis with Machine Learning☆76Updated 5 years ago
- Algorithmic Short-Selling with Python☆108Updated 3 years ago
- applications for risk management through computational portfolio construction methods☆43Updated 4 years ago
- ☆129Updated 4 years ago
- This repository displays my work in finance and economics datascience for future employers and collaborators.☆11Updated 2 years ago
- Financial pipeline for the data-driven investor to research, develop and deploy robust strategies. Big Data ingestion, risk factor modeli…☆154Updated 11 months ago
- Udacity nanodegree: AI for Trading☆243Updated 2 years ago
- ☆213Updated 7 years ago
- Notebook based on the book "Advances in Financial Machine Learning" by Marcos Lopez de Prado☆125Updated 5 years ago
- Listed Volatility and Variance Derivatives (Wiley Finance)☆150Updated 3 years ago
- Build a statistical risk model using PCA. Optimize the portfolio using the risk model and factors using multiple optimization formulation…☆132Updated 6 years ago
- Quantamental finance research with python☆149Updated 3 years ago
- Python Jupyter Notebooks for Financial Portfolio Optimization☆35Updated 6 years ago
- The Official Repository of Mastering Financial Pattern Recognition☆148Updated 2 years ago
- Ikaros is a free financial library built in pure python that can be used to get information for single stocks, generate signals and build…☆67Updated 4 years ago
- ☆89Updated 3 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
- Some notebooks with powerful trading strategies.☆95Updated 4 years ago