Python for Finance: Low Risk Investment Options - Part 3

Python for Finance: Low Risk Investment Options - Part 3

Derek Banas via YouTube Direct link

Mean and Standard Deviation

6 of 16

6 of 16

Mean and Standard Deviation

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Classroom Contents

Python for Finance: Low Risk Investment Options - Part 3

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  1. 1 Intro
  2. 2 Github
  3. 3 Start Dates
  4. 4 Get Valid Dates
  5. 5 Return on Investment
  6. 6 Mean and Standard Deviation
  7. 7 coefficient of variation
  8. 8 testing
  9. 9 creating data frames
  10. 10 finding the best stocks
  11. 11 merging multiple stocks
  12. 12 correlation matrix
  13. 13 variance
  14. 14 covariance
  15. 15 why we care about risk
  16. 16 portfolio variance

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