Awesome Open Source
Search
Programming Languages
Languages
All Categories
Categories
About
Search results for finance portfolio management
finance
x
portfolio-management
x
22 search results found
Pyportfolioopt
⭐
3,936
Financial portfolio optimisation in python, including classical efficient frontier, Black-Litterman, Hierarchical Risk Parity
Mlfinlab
⭐
3,567
MlFinLab helps portfolio managers and traders who want to leverage the power of machine learning by providing reproducible, interpretable, and easy to use tools.
Riskfolio Lib
⭐
2,508
Portfolio Optimization and Quantitative Strategic Asset Allocation in Python
Finquant
⭐
1,061
A program for financial portfolio management, analysis and optimisation.
Empyrial
⭐
761
An Open Source Portfolio Backtesting Engine for Everyone | 面向所有人的开源投资组合回测引擎
Rl Portfolio Management
⭐
417
Attempting to replicate "A Deep Reinforcement Learning Framework for the Financial Portfolio Management Problem" https://arxiv.org/abs/1706.10059 (and an openai gym environment)
Turingtrader
⭐
369
The Open-Source Backtesting Engine/ Trading Simulator by Bertram Solutions.
Rlquant
⭐
245
Applying Reinforcement Learning in Quantitative Trading
Investbook
⭐
219
Оценка эффективности инвестиций с учетом комиссий, налогов (удержанных и ожидающихся), дивидендов и купонов.
Goplan App
⭐
69
An intuitive portfolio mangaer !
Portfoliolab
⭐
57
PortfolioLab is a python library that enables traders to take advantage of the latest portfolio optimisation algorithms used by professionals in the industry.
Pynaissance
⭐
20
A walk through the frameworks of Python in Finance. The repository is currently in the development phase. The finalized version will include a full-fledged integration and utilization of Quantopian, GS-Quant, WRDS API and their relevant datasets and analytics.
Quantum Finance And Numerical Methods
⭐
20
A Repository for all the resources to learn finance through Python
Beibo
⭐
19
🤖 Predict the stock market with AI 用AI预测股票市场
Ca_gmvp
⭐
18
Codes for the paper 'Clustering Approaches for Global Minimum Variance Portfolio'
Pymarkowitz
⭐
14
Mean Variance (Markowitz) Portfolio Optimization and Beyond
Personal Cryptofolio
⭐
9
Mobile personal crypto portfolio manager focusing on privacy and data availability.
Portfolio Management Actorcriticrl
⭐
9
Portfolio management using Actor-Critic Deep Reinforcement Learning algorithms including A2C, DDPG, and PPO
Finance And Risk Management Algorithms
⭐
9
applications for risk management through computational portfolio construction methods
Portfolio Management Project
⭐
8
A basic porfolio management system that uses Alpha Vantage to view graphs and Oanda REST API to execute trades.
Fintools
⭐
8
A curated list of financial tools
Rl Trading Agent
⭐
8
Direct Reinforcement Learning Agent for Portfolio Management Purposes
Pyportfolioanalysis
⭐
8
'Portfolio Analysis, methods for portfolio optimization'
Derpy
⭐
6
A financial derivatives and portfolio analysis library for python
Statmetrics Android
⭐
6
Mobile App Solution for Portfolio Analytics and Investment Management
Finq
⭐
5
🔬 Quantitative analysis and management for financial applications.
Related Searches
Python Finance (1,899)
Stock Finance (1,045)
Javascript Finance (1,020)
Jupyter Notebook Finance (732)
Finance Trading (538)
Portfolio Finance (318)
Finance Financial Data (294)
Transaction Finance (284)
Machine Learning Finance (255)
Finance Stock Market (255)
1-22 of 22 search results
Privacy
|
About
|
Terms
|
Follow Us On Twitter
Copyright 2018-2024 Awesome Open Source. All rights reserved.