tom1919 / invst_mgmt_w_py
Investment mangement with python coursera from coursera
☆28Updated 4 years ago
Related projects ⓘ
Alternatives and complementary repositories for invst_mgmt_w_py
- Jupyter notebooks on portfolio construction and analysis - EDHEC☆41Updated 5 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 4 years ago
- Including packages that frequently used in quantitative finance field and how to implement classic financial model in Quantopian.☆49Updated 6 years ago
- Projects are developed for implementing the knowledge gained in the courses studied at World Quant University and meeting the requirement…☆26Updated 4 years ago
- Python Jupyter Notebooks for Financial Portfolio Optimization☆32Updated 6 years ago
- Advanced Portfolio Construction and Analysis with Python - Coursera☆18Updated 3 years ago
- Repository of Python for Finance Cookbook, published by Packt☆85Updated 3 years ago
- Using a dataset of hedge fund indices, I had computed various risk parameters, explicitly Value at risk (VaR), drawdown and deviation fro…☆20Updated 4 years ago
- Scrape, analyze & visualize stock market data for the S&P500 using Python. Build a basic trading strategy using machine learning to asses…☆79Updated 4 years ago
- keywords - Kmeans Clustering, Tsne, PCA, Indian Stocks, Johansen test☆30Updated 6 years ago
- applications for risk management through computational portfolio construction methods☆36Updated 4 years ago
- ☆36Updated 3 years ago
- Udacity NANODEGREE Program(Partner with World Quant): Projects designed by industry experts, covering topics from asset management to tra…☆49Updated 2 years ago
- Reinforce Your Career: Machine Learning in Finance. Extend your expertise of algorithms and tools needed to predict financial markets.☆70Updated 2 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…☆42Updated 4 years ago
- ☆35Updated 2 years ago
- Listed Volatility and Variance Derivatives (Wiley Finance)☆142Updated 2 years ago
- Repository for teachings on Quant Finance☆48Updated 5 years ago
- Notes and examples about Portfolio Construction and Analysis with Python (Jupyter notebooks)☆177Updated 11 months ago
- materials from past webinars☆40Updated last year
- Automatically performs the DCF calculation, sensitivity analysis and Piotroski f-score analysis for a given company. All financial data c…☆44Updated 4 years ago
- ☆57Updated last year
- Introduction to Portfolio Construction and Analysis with Python - Coursera☆25Updated 3 years ago
- ☆34Updated 5 years ago
- Assignments submitted for the Certification in Quantitative Finance (CQF) 2016☆33Updated 6 years ago
- Data Science Projects Repository☆54Updated 5 years ago
- Notebook for <Advances in Financial Machine Learning> using Python 3.7☆44Updated 5 years ago
- A Streamlit based application to predict future Stock Price and pipeline to let anyone train their own multiple Machine Learning models o…☆80Updated 3 months ago
- Financial pipeline for the data-driven investor to research, develop and deploy robust strategies. Big Data ingestion, risk factor modeli…☆141Updated 3 months ago
- Standardised Bloomberg Fixed Income Processing☆20Updated 4 years ago