PyPortfolioOpt
PyPortfolio
Financial portfolio optimisation in python, including classical efficient frontier, Black-Litterman, Hierarchical Risk Parity
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Results: 47
PyPortfolio
Financial portfolio optimisation in python, including classical efficient frontier, Black-Litterman, Hierarchical Risk Parity
cinar
Indicator Go delivers a rich set of technical analysis indicators, customizable strategies, and a powerful backtesting framework. No dependencies, just pure simplicity.…
tradermonty
Build an upcoming US earnings calendar with dates, timing, consensus estimates, and market-impact context.
OpenBB-finance
Financial data platform for analysts, quants and AI agents.
AI4Finance-Foundation
FinRobot: An Open-Source AI Agent Platform for Financial Analysis using LLMs 🚀 🚀 🚀
domokane
A Python Finance Library that focuses on the pricing and risk-management of Financial Derivatives, including fixed-income, equity, FX and credit derivatives.
ccxt
A cryptocurrency trading API with more than 100 exchanges in JavaScript / TypeScript / Python / C# / PHP / Go / Java
tradermonty
Rank recent market-moving news and explain likely effects on equities, commodities, monetary policy, and earnings.
tradermonty
Research a US equity across fundamentals, valuation, technical context, peers, and current market data.
arrobalytics
Django Ledger is a double entry accounting system and financial analysis engine built on the Django Web Framework.
DaveSkender
Stock Indicators for .NET is a C# NuGet package that transforms raw equity, commodity, forex, or cryptocurrency financial market price quotes into technical indicators a…
star23
Create a multi-perspective technology-company earnings memo with evidence standards, valuation lenses, and anti-bias checks.
JoelLewis
Assess business quality, economic moats, management, competitive positioning, and durable value creation.
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