alardosa / credit-risk-modeling-in-python
☆10Updated 4 years ago
Alternatives and similar repositories for credit-risk-modeling-in-python:
Users that are interested in credit-risk-modeling-in-python are comparing it to the libraries listed below
- ScriptUni Python in Finance Certificate Final Project☆37Updated 2 years ago
- Credit Risk Modeling to Compute Expected Loss of Loans (logistic regression, linear regression)☆24Updated last year
- Credit-Risk Modelling Libraries☆116Updated 7 years ago
- The full scope of IFRS 9 Impairment models including PD, LGD and EAD are provided. It also covers ECL, which is the combination of those …☆86Updated last year
- Resources for the AI in Finance Workshop at Texas State University (October 2023).☆50Updated last year
- Building an PD, LGD and EAD Model for Financial Modeling.☆13Updated last year
- Modeled the credit risk associated with consumer loans. Performed exploratory data analysis (EDA), preprocessing of continuous and discre…☆88Updated 4 years ago
- Various stress testing/risk modeling techniques in a jupyter notebook, in Python 3.4.☆24Updated 5 years ago
- Source code for 'Advanced Analytics in Power BI with R and Python' by Ryan Wade☆35Updated 4 years ago
- The Future of Finance with ChatGPT and Power BI, Published by Packt☆15Updated 8 months ago
- ☆13Updated 4 years ago
- A comprehensive credit risk model and scorecard using data from Lending Club☆137Updated 3 years ago
- Master's degree dissertation: Yield Curve Modeling with Principal component analysis.☆21Updated 4 years ago
- ☆59Updated 2 years ago
- Manuel Touyaa's porfotlio of Python projects/assignments for Finance Market Risk.☆10Updated 3 years ago
- Forecasted the Expected Credit Loss, over the lifetime of the mortgage. Built Loan-level PD Model using Markov Chain Transition Matrix an…☆11Updated 5 years ago
- ☆25Updated 4 years ago
- Utilizing Kaggle Data and Real-World Data for Data Science and Prediction in Python, R, Excel, Power BI, and Tableau.☆27Updated last year
- Consolidated codes for articles published on Medium☆14Updated 4 years ago
- Jupyter notebooks on portfolio construction and analysis - EDHEC☆42Updated 5 years ago
- Advanced Portfolio Construction and Analysis with Python - Coursera☆21Updated 4 years ago
- The repository of "Python for Finance Cookbook" 2nd edition☆119Updated 11 months ago
- In this repository I document my learnings from the course on Udemy - udemy.com/course/credit-risk-modeling-in-python/☆17Updated 5 years ago
- This course is available on Coursera, and here is my own note about this course. It is taught by University of Pennsylvania.☆10Updated last year
- openLGD is a Python powered library for the statistical estimation of Credit Risk Loss Given Default models. It can be used both as stan…☆22Updated 5 months ago
- Python package for working with financial statement data☆18Updated 8 months ago
- ☆14Updated 3 years ago
- This course in applied data science covers the theoretical foundations of advanced quantitative approaches in machine learning, econometr…☆30Updated 3 weeks ago
- Financial Modeling Course with Python and Excel☆24Updated last year
- Python code examples to support the Python for Actuaries webinars sponsored by ACTEX Learning☆54Updated 4 years ago