The Wayback Machine - https://web.archive.org/web/20210724210332/https://github.com/topics/investment-strategies
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33 public repositories
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Code for Machine Learning for Algorithmic Trading, 2nd edition.
Updated
Jul 15, 2021
Jupyter Notebook
A program for financial portfolio management, analysis and optimisation.
Updated
Apr 5, 2021
Python
The sample question for Interview a job in Binary options
Updated
Jun 27, 2021
HTML
Analysis on systematic trading strategies
Updated
Jul 23, 2021
Jupyter Notebook
Long Term Investment Projects
Updated
May 11, 2021
Jupyter Notebook
This project tries to replicate hedge funds returns.
Cryptocurrency Simulator: Invest fake money and play your strategies without risking real money
Tori (Trend- & oversell-based rebalancing instruction) is an n-m MA BIAS based tools to improve portfolio performance by monthly rebalance
Updated
Sep 2, 2020
Jupyter Notebook
Terminal investment strategy analysis, parametrically driven by changing demand scenarios.
Updated
Jul 7, 2021
Jupyter Notebook
Trend trading model in the financial market using machine learning algorithms. The machine learning algorithm predicts the result of the transaction of the base trading model and predicts the price of the next timeframe.
Research of Forex Trading
Updated
Jul 22, 2021
Jupyter Notebook
A group project for CMPE285 at SJSU in Python
Calculates the weights of stocks inside a Pie.
Updated
Sep 10, 2020
Kotlin
Data Analysis And Simulation Of Asset Allocation Strategies For Investing Using Python.
Updated
May 2, 2017
Jupyter Notebook
Artificial Neural Network - Corporate Investment Grade Bond Rating
Updated
Aug 4, 2018
Python
Algorithms analyzer for the Forecaster bot
Updated
Jul 8, 2020
Python
Multi-factor Risk Models of Asset or Portfolio Returns
Imperial College London Final Year Project - Analysing LSTM Networks in the context of price predictions for SXNP companies
Updated
Jun 25, 2019
Jupyter Notebook
Updated
Jul 26, 2019
Jupyter Notebook
Updated
Jun 26, 2021
HTML
Follow the momentum or not: Evaluation of Investment Strategies
Repository for Emma Muhleman's git pages site
Exploring the Efficient Frontier for Constructing a investment portfolio with best return and acceptable risks based on Markowitz Portfolio Theory using Python 3
Updated
Aug 5, 2019
Jupyter Notebook
Shiny app that visualizes financial risks and opportunities with crowd investments
An intelligent strategy solution for investment decision and asset management based on DL.
Investment no worries legit minimum deposit 0.95$
Скрипты для инвестиционного анализа
Updated
Jul 16, 2021
Jupyter Notebook
Updated
Sep 7, 2019
Python
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After the backtest run, we see the statistics. It is very good! Is there any simple way to see that statistics separately for long ans short trades?