portfolio-manager-extension VS PyPortfolioOpt

Compare portfolio-manager-extension vs PyPortfolioOpt and see what are their differences.

portfolio-manager-extension

The Portfolio Manager Extension is a Chrome extension designed to enhance your trading activities by importing data from Trade Republic and providing valuable insights. (by portfolio-manager-extension)
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portfolio-manager-extension PyPortfolioOpt
2 155
17 4,144
- -
4.9 5.7
8 months ago about 2 months ago
TypeScript Jupyter Notebook
GNU General Public License v3.0 or later MIT License
The number of mentions indicates the total number of mentions that we've tracked plus the number of user suggested alternatives.
Stars - the number of stars that a project has on GitHub. Growth - month over month growth in stars.
Activity is a relative number indicating how actively a project is being developed. Recent commits have higher weight than older ones.
For example, an activity of 9.0 indicates that a project is amongst the top 10% of the most actively developed projects that we are tracking.

portfolio-manager-extension

Posts with mentions or reviews of portfolio-manager-extension. We have used some of these posts to build our list of alternatives and similar projects.

PyPortfolioOpt

Posts with mentions or reviews of PyPortfolioOpt. We have used some of these posts to build our list of alternatives and similar projects. The last one was on 2023-09-16.

What are some alternatives?

When comparing portfolio-manager-extension and PyPortfolioOpt you can also consider the following projects:

sgb-discount-calculator - A tool to calculate discount available on SGB (Sovereign Gold Bonds) compared to current market price on NSE

Riskfolio-Lib - Portfolio Optimization and Quantitative Strategic Asset Allocation in Python

zil-pay - ZilPay browser extension enables browsing Zilliqa blockchain enabled websites.

bt - bt - flexible backtesting for Python

inverno - An easy-to-use investment portfolio tracker

mlfinlab - MlFinLab helps portfolio managers and traders who want to leverage the power of machine learning by providing reproducible, interpretable, and easy to use tools.

backtesting.py - :mag_right: :chart_with_upwards_trend: :snake: :moneybag: Backtest trading strategies in Python.

okama - Investment portfolio and stocks analyzing tools for Python with free historical data

ghostfolio - Open Source Wealth Management Software. Angular + NestJS + Prisma + Nx + TypeScript 🤍

universal-portfolios - Collection of algorithms for online portfolio selection

qlib - Qlib is an AI-oriented quantitative investment platform that aims to realize the potential, empower research, and create value using AI technologies in quantitative investment, from exploring ideas to implementing productions. Qlib supports diverse machine learning modeling paradigms. including supervised learning, market dynamics modeling, and RL.

FinancePy - A Python Finance Library that focuses on the pricing and risk-management of Financial Derivatives, including fixed-income, equity, FX and credit derivatives.