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Financial portfolio optimization in python, including classical efficient frontier, Black-Litterman, Hierarchical Risk Parity
MlFinLab helps portfolio managers and traders who want to leverage the power of machine learning by providing reproducible, interpretable, and easy to use tools.
Portfolio Optimization in Python
A program for financial portfolio management, analysis and optimisation.
An Open Source Portfolio Backtesting Engine for Everyone | 面向所有人的开源投资组合回测引擎
The most comprehensive MCP server for Polymarket — 48 tools spanning direct trading, market discovery, smart money tracking, copy trading, backtesting, risk management, and portfolio optimization. Works with Claude Code, Cursor, or any MCP-compatible client.