GitHub topics: python-for-finance
Oyunbold1/financial-analysis-portfolio-optimization
This repository showcases a robust financial analysis platform designed for portfolio optimization and risk management. It employs advanced quantitative techniques, making it a valuable resource for finance professionals and data analysts. 🐙📈
Language: Jupyter Notebook - Size: 5.81 MB - Last synced at: 18 days ago - Pushed at: 18 days ago - Stars: 0 - Forks: 0

Coderixc/TradingStratgey
Volume based Trading Strategy with Crossover of SMA and Current Candle
Language: Python - Size: 315 KB - Last synced at: 3 months ago - Pushed at: 5 months ago - Stars: 1 - Forks: 0

jonadiazm/momentum_residual_analysis
Analysis of an investment strategy known as Residual Momentum on the New York Stock Exchange (NYSE) is based on the premise that stock returns exhibit a certain "inertia", which gives rise to the phenomenon known as the "momentum effect".
Language: Jupyter Notebook - Size: 205 KB - Last synced at: 6 months ago - Pushed at: 9 months ago - Stars: 0 - Forks: 0

etccapital/MultiFactor
Built a practical Multi-Factor Backtesting Framework from scratch based on Huatai Security's(One of China's largest sell side) financial engineering report. Steps include factor data collection and preprocessing, factor combination, portfolio optimization and risk return analysis.
Language: Jupyter Notebook - Size: 9.05 MB - Last synced at: over 2 years ago - Pushed at: over 2 years ago - Stars: 19 - Forks: 9

rekharchandran/Financial-Perfomance-Analysis-
Financial Analysis with Python using Financial Modelling Prep's API
Language: Jupyter Notebook - Size: 88.9 KB - Last synced at: about 2 years ago - Pushed at: about 4 years ago - Stars: 1 - Forks: 0
