This repository contains my Financial Derivates course content with implementation in Python on stocks containing Portfolio Optimization, technical analysis, operations on series and dataframes, grouping, aggregations, time series, trends and visualization (Using numpy, pandas, matplotlib etc).
-
Notifications
You must be signed in to change notification settings - Fork 0
This repository contains my Financial Derivates course content with implementation in Python on stocks containing Portfolio Optimization, technical analysis, operations on series and dataframes, grouping, aggregations, time series, trends and visualization (Using numpy, pandas, matplotlib etc).
AitzazTahirCh/Financial-Derivates-Python
This commit does not belong to any branch on this repository, and may belong to a fork outside of the repository.
Folders and files
Name | Name | Last commit message | Last commit date | |
---|---|---|---|---|
Repository files navigation
About
This repository contains my Financial Derivates course content with implementation in Python on stocks containing Portfolio Optimization, technical analysis, operations on series and dataframes, grouping, aggregations, time series, trends and visualization (Using numpy, pandas, matplotlib etc).
Topics
Resources
Stars
Watchers
Forks
Releases
No releases published
Packages 0
No packages published