Portfolio and Risk Management of 5 US random selected stocks
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Updated
Aug 20, 2023 - Jupyter Notebook
Portfolio and Risk Management of 5 US random selected stocks
Explore investment performance using Python models, uncovering the risk-return relationship for higher returns.
Exploration of methods in Asset Pricing applied to a public dataset
A Python powered CLI that calculates most important descriptive statistics for given assets
A web app to produce near-real-time statistics on your investment portfolio
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