project
Analyze Your Stock Portfolio for Risks and Returns
Intermediate
Updated 04/2024Start Project for Free
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1 Task1,500 XP441
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When deciding on asset allocation, you can use modern portfolio theory (MPT). MPT emphasizes that you should consider both the expected return and the associated risk (variance) when constructing portfolios.
In this project, you will find and evaluate a set of portfolios using mean-variance optimization using libraries such as PyPortfolioOpt.
Project Tasks
- 1Task 1
Technologies
Python
Topics
Applied Finance