ntrang086 / analyze_financial_dataLinks
analyze financial data using python: numpy, pandas, etc.
☆21Updated 7 years ago
Alternatives and similar repositories for analyze_financial_data
Users that are interested in analyze_financial_data are comparing it to the libraries listed below
Sorting:
- Python-based portfolio / stock widget which sources data from Yahoo Finance and calculates different types of Value-at-Risk (VaR) metrics…☆123Updated 4 years ago
- Simple portfolio analysis and management.☆30Updated 4 years ago
- Research and Backtests I have been working on...enjoy☆71Updated 4 years ago
- Visualising correlations between different ETFs using network analytics and Plotly☆34Updated 3 years ago
- Optimization techniques on the financial area for the hedging, investment starategies, and risk measures☆43Updated 5 years ago
- Python based Quant Finance Models, Tools and Algorithmic Decision Making☆46Updated 7 years ago
- • Conducted a volatility study to develop pairs trading strategy by writing web crawlers that automated extracting 30 equity and ETF spot…☆48Updated 4 years ago
- Capital Asset Pricing Model implementation in python to analyze stock risk and return.☆26Updated 3 years ago
- Library for simulation and analysis of vanilla and exotic options☆34Updated 5 years ago
- ☆36Updated 7 years ago
- Developed a deep learning model that allows trading firms to analyze large patterns of stock market data and look for possible permutatio…☆64Updated 6 years ago
- Automatically performs the DCF calculation, sensitivity analysis and Piotroski f-score analysis for a given company. All financial data c…☆51Updated 5 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
- Quantitative Finance using python - Derivatives Pricing☆45Updated 7 years ago
- Scrape, analyze & visualize stock market data for the S&P500 using Python. Build a basic trading strategy using machine learning to asses…☆92Updated 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
- Corporate bond price prediction model☆15Updated 5 years ago
- A software to shortlist and find the best options spread available for a given stock and help it visualise using payoff graphs.☆92Updated 2 years ago
- Implement a momentum trading strategy in Python and test to see if it has the potential to be profitable☆57Updated 6 years ago
- ML pipeline for SmartBeta momentum factor on equity portfolio☆11Updated 9 years ago
- Markowitzify will implement a variety of portfolio and stock/cryptocurrency analysis methods to optimize portfolios or trading strategies…☆37Updated 4 years ago
- A library for black-scholes euro options pricing, algorithmic delta hedging, and visualization☆62Updated 5 years ago
- Simulated GBM using MC simulation, estimated option' Greeks using numerical methods such as finite difference, pathwise derivative estima…☆31Updated 5 years ago
- Built a smart beta portfolio and compared it to a benchmark index by calculating the tracking error. Built a portfolio using quadratic pr…☆68Updated 6 years ago
- Contains the code for my financial machine learning articles☆49Updated 5 years ago
- quantitative - Quantitative finance back testing library☆65Updated 6 years ago
- Python Jupyter Notebooks for Financial Portfolio Optimization☆37Updated 7 years ago
- Interactive app to monitor market using Python☆30Updated 4 years ago
- Simulation of Financial Models, Valuation Framework, Derivatives and Portfolio Valuation, Volatility Options☆24Updated 5 years ago
- MIT Trading Competition algorithmic trading of options and securities☆41Updated 6 years ago