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karagul's Projects

financial_modeling icon financial_modeling

In finance, quantitative analysts ensure portfolios are risk balanced, help find new trading opportunities, and evaluate asset prices using mathematical models.

financial_optimization icon financial_optimization

Use Markowitz model to construct portfolio and compare the return under different portfolio holding methods

financial_risk_assement icon financial_risk_assement

Financial Institute attracts funds through deposits, loans, and bonds rather than from tangible property. And one major issue with granting loans is if the borrowers could fulfill their obligation or not. So we used bank data from 2001-2009 to come up with a model to help make the process of loan approval less tedious and reduce the risk of loan default. The data we used has information like their credit history, credit score, the purpose of the loan, their demographic details, income, and the target variable (status of the current loan(1/0)). For this, I used logistic regression as the prediction model. Which predicted with an accuracy of 82% when tested on our test model.

financialriskfactor icon financialriskfactor

Computing financial risk factor and decrease in cost of functions using feed forward neural network(SGD)

fincal icon fincal

Package for time value of money calculation, time series analysis and computational finance

finco. icon finco.

Finco automates the process of generating financial documentation and valuations for companies traded on the NASDAQ and NYSE. Provides user with a live stock price index, current balance sheet, liquidity ratios, current income statement, and a projected discounted cash flow statement.

findatapy icon findatapy

Python library to download market data via Bloomberg, Quandl, Yahoo etc.

finding-the-risk-in-stock-market-pandas- icon finding-the-risk-in-stock-market-pandas-

stock market data analysis, finding few ways of analysis technology stocks based on its previous performance history. Predicting future stock price through a Monte Carlo method

finmarketpy icon finmarketpy

Python library for backtesting trading strategies & analyzing financial markets (formerly pythalesians)

finmod icon finmod

R package implementing the Hull-White, Heston, and BNS models for forecasting realized volatility of financial assets

finopt icon finopt

Portfolio optimization in MATLAB

finproj icon finproj

Contains all the python code related to my finance project on mutual funds

finqreportr icon finqreportr

A R package for downloading and displaying quarterly-report financial data from SEC's EDGAR database

finquant icon finquant

A program for financial portfolio management, analysis and optimisation.

finreportr icon finreportr

R package - Financial Data from U.S. Securities and Exchange Commission

finstr icon finstr

:chart_with_upwards_trend: Financial statements in R

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