Investment Portfolio Management : Python for Finance 7

Python for FinanceIn this video I’ll show you how to create stock portfolios that Maximize Return while Minimizing Risk! I’ll do that using a combination of the Markowitz Portfolio Optimization technique with the Sharpe Ratio. This one video will take you Investment Portfolio Management knowledge to a High Level!

Files Are Here : https://github.com/derekbanas/Python4Finance
Stock Data is Here : https://1drv.ms/u/s!AjbW63mlCQM75ljTNHq_LsD1fpkY?e=flBn5u

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