ManikantaSanjay / Financial_Analysis_Using_Python_and_ML_LibrariesLinks
This repository has been created as part of my Udemy Course learning "Python & Machine Learning for Financial Analysis" by Dr. Ryan Ahmed.
☆10Updated 2 years ago
Alternatives and similar repositories for Financial_Analysis_Using_Python_and_ML_Libraries
Users that are interested in Financial_Analysis_Using_Python_and_ML_Libraries are comparing it to the libraries listed below
Sorting:
- WQU capstone project - short term currency trading strategy utilizing machine learning☆11Updated 3 years ago
- ☆15Updated 4 years ago
- Projects are developed for implementing the knowledge gained in the courses studied at World Quant University and meeting the requirement…☆31Updated 5 years ago
- Code for Machine Learning for Algorithmic Trading, 2nd edition.☆20Updated 3 years ago
- • Conducted a volatility study to develop pairs trading strategy by writing web crawlers that automated extracting 30 equity and ETF spot…☆49Updated 4 years ago
- In this project, I had backtested the cross-over trading strategy on Google Stock from Jan 2016 to June 2020. By using historical time-se…☆44Updated 5 years ago
- The notebook with the experiments to replicate and enhance the stock clustering proposed by Han(2022) for alogtrading, with KMeans Optimi…☆21Updated last year
- Scrape, analyze & visualize stock market data for the S&P500 using Python. Build a basic trading strategy using machine learning to asses…☆91Updated 5 years ago
- Support financial data science workflow, manage large structured and unstructured data sets, and apply financial econometrics and machine…☆48Updated 9 months ago
- ML pipeline for SmartBeta momentum factor on equity portfolio☆11Updated 9 years ago
- On this repository you'll find tools used for Quantitative Analysis and some examples such: MonteCarlo Simulations, Linear Regression, Ge…☆28Updated 2 years ago
- Repository containing code for article: Quantconnect – A Complete Guide on https://algotrading101.com/☆19Updated 5 years ago
- Interest-rate modeling and Fixed Income Pricing in Python☆12Updated 5 years ago
- Economic indicators using Python and APIs☆15Updated 2 years ago
- Using a dataset of hedge fund indices, I had computed various risk parameters, explicitly Value at risk (VaR), drawdown and deviation fro…☆26Updated 5 years ago
- trading strategy is a fixed plan to go long or short in markets, there are two common trading strategies: the momentum strategy and the …☆61Updated 5 years ago
- everything quantitative finance related☆24Updated 5 years ago
- ☆30Updated 3 years ago
- Introductory tutorial for Zipline demonstrating data collection, interactive research, and backtesting of a momentum strategy for equitie…☆12Updated 11 months ago
- applications for risk management through computational portfolio construction methods☆43Updated 5 years ago
- Visualising correlations between different ETFs using network analytics and Plotly☆34Updated 3 years ago
- Pairs Trading with Alpaca - created on behalf of AlgoTrading101.com for alpaca.markets/learn☆17Updated 5 years ago
- A walk through the frameworks of Python in Finance. The repository is currently in the development phase. The finalized version will inc…☆27Updated 2 years ago
- ☆34Updated 5 years ago
- Stock Market Analysis and Prediction is the project related to Exploratory data analysis( EDA), Data visualization and Predictive analysi…☆18Updated 7 years ago
- Simulated GBM using MC simulation, estimated option' Greeks using numerical methods such as finite difference, pathwise derivative estima…☆33Updated 5 years ago
- The project aims to profile stocks with similar weekly percentage returns using K-Means Clustering. The project calculates realized volat…☆12Updated 2 years ago
- analyze financial data using python: numpy, pandas, etc.☆21Updated 8 years ago
- Simple portfolio analysis and management.☆31Updated 4 years ago
- Python based Quant Finance Models, Tools and Algorithmic Decision Making☆47Updated 8 years ago