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Portfolio Optimization in Python
A Python Finance Library that focuses on the pricing and risk-management of Financial Derivatives, including fixed-income, equity, FX and credit derivatives.
Python library for portfolio optimization built on top of scikit-learn
Educational notebooks on quantitative finance, algorithmic trading, financial modelling and investment strategy
Entropy Pooling views and stress testing combined with Conditional Value-at-Risk (CVaR) portfolio optimization in Python.
Investing library and command-line interface inspired by the Bogleheads philosophy