Amir NejadIntroduction to Financial Portfolios — Risk & Return with PythonThis articles demonstrates how to measure the risk adjusted performance of financial portfoliosMar 9, 2021Mar 9, 2021
Amir NejadIntroduction to Financial Portfolios— Correlation & Diversification with PythonThis articles demonstrates how to measure the correlation of financial portfolios to build diversified portfolios.Feb 9, 2021Feb 9, 2021
Amir NejadIntroduction to Time Series — Trend Decomposition with PythonMultipart series on time series analysis with Python applied to financial datasetsNov 2, 2020Nov 2, 2020
Amir NejadHow to Create Stock Alert System using Python and Windows Task SchedulerThere are a plethora of stock alert systems available for free or for a nominal price. However, I found most of these alert system too…May 2, 2020May 2, 2020