Logo
Explore Help
Register Sign In
gavindiaz/python-for-finances
1
0
Fork 0
You've already forked python-for-finances
Code Issues Pull Requests Actions Packages Projects Releases Wiki Activity
10 Commits 1 Branch 0 Tags
8ba3f2c6ddd836c6ecd2cd35d10d12c1bf01c31d
T
Clone
Open with VS Code Open with VSCodium Open with Intellij IDEA
Download ZIP Download TAR.GZ Download BUNDLE
ImGabreuw 8ba3f2c6dd Add classic mean risk optimization
2023-08-17 16:46:32 -03:00
daily-and-cumulative-return
feat: sample of Riskfolio Lib
2023-08-11 18:40:26 -03:00
dividend-yield
feat: add dividend yield calculation
2023-08-06 18:39:13 -03:00
portfolios-simulation
feat: sample of Riskfolio Lib
2023-08-11 18:40:26 -03:00
riskfolio-lib
Add classic mean risk optimization
2023-08-17 16:46:32 -03:00
stock-price-prediction
feat: add stock price prediction
2023-08-12 20:19:29 -03:00
stock-tracker
feat: add stock tracker
2023-08-08 14:24:10 -03:00
.gitignore
feat: add dividend yield calculation
2023-08-06 18:39:13 -03:00
README.md
feat: add dividend yield calculation
2023-08-06 18:39:13 -03:00

README.md

Python para Finanças

  • Como calcular o retorno diário e acumulador de uma carteira de ações
Reference in New Issue View Git Blame Copy Permalink
S
Description
No description provided
pythonquantitative-analysisvectorbtyfinance
Readme 5.9 MiB
Languages
Jupyter Notebook 100%
Powered by Gitea Version: 1.26.4 Page: 49ms Template: 7ms
Auto
English
Bahasa Indonesia Deutsch English Español Français Gaeilge Italiano Latviešu Magyar nyelv Nederlands Polski Português de Portugal Português do Brasil Suomi Svenska Türkçe Čeština Ελληνικά Български Русский Українська فارسی മലയാളം 日本語 简体中文 繁體中文(台灣) 繁體中文(香港) 한국어
Licenses API