A program for financial portfolio management, analysis and optimisation.
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Updated
Nov 4, 2023 - Python
A program for financial portfolio management, analysis and optimisation.
Simple Real Estate Return Analysis Open-source Web Application. Easy to use, developed as a side project to quickly analyze and compare Residential Properties.
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
Generation and analysis of artificial and real portfolio returns
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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