returns
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This is the repository with codes from the Coursera course by EDHEC business School about "Construction and Analyzing Portfolio using Python Pandas"
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May 6, 2020 - Python
Efficient Frontier Portfolio Optimization
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Mar 1, 2024 - Python
Generation and analysis of artificial and real portfolio returns
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Jun 9, 2024 - Python
Randomly partitions time series segments into train, development, and test sets; Trains multiple models optimizing parameters for development set, final cross-validation in test set; Calculates model’s annualized return, improvement from buy/hold, percent profitable trades, profit factor, max drawdown
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Apr 18, 2020 - Python
Simple Real Estate Return Analysis Open-source Web Application. Easy to use, developed as a side project to quickly analyze and compare Residential Properties.
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Mar 3, 2021 - Python
A program for financial portfolio management, analysis and optimisation.
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Nov 4, 2023 - Python
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