21 lines
941 B
Python
21 lines
941 B
Python
"""
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ferro_ta.analysis — Portfolio analytics, strategy analysis, and financial modelling.
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Sub-modules
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-----------
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* :mod:`ferro_ta.analysis.portfolio` — Portfolio and multi-asset analytics
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* :mod:`ferro_ta.analysis.backtest` — Vectorised back-testing helpers
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* :mod:`ferro_ta.analysis.regime` — Market regime detection
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* :mod:`ferro_ta.analysis.cross_asset` — Cross-asset and relative-strength analysis
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* :mod:`ferro_ta.analysis.attribution` — Return attribution
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* :mod:`ferro_ta.analysis.signals` — Signal composition and screening
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* :mod:`ferro_ta.analysis.features` — Feature matrix and ML readiness helpers
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* :mod:`ferro_ta.analysis.crypto` — Crypto-specific indicators and helpers
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* :mod:`ferro_ta.analysis.options` — Options pricing and Greeks
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Example usage::
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from ferro_ta.analysis.portfolio import portfolio_returns
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from ferro_ta.analysis.backtest import backtest
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"""
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