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default-prediction

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Finance and Risk Analytics Project: Predicting credit default risk using machine learning models (Logistic Regression, Random Forest) and assessing stock market risk through historical returns and volatility analysis to guide financial risk management and investment strategies.

  • Updated Nov 8, 2024
  • Jupyter Notebook

In this project, task is to help banking organization to identify the right customers using predictive models. Using past data of the bank’s applicants, you need to determine the factors affecting credit risk, create strategies to mitigate the acquisition risk and assess the financial benefit of the project.

  • Updated May 8, 2023
  • Jupyter Notebook

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