Python portfolio-management

Open-source Python projects categorized as portfolio-management

Top 5 Python portfolio-management Projects

  • 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.

  • Project mention: mlfinlab: open source library maintained by hudson and thames though much of the content has moved to a subscription model. Idea is to implement academic research in python code and aggregate it as a package. Sources from [Journal of financial data s | /r/algoprojects | 2023-11-21
  • Empyrial

    AI and data-driven quantitative portfolio management library for portfolio risk and performance analysis 投资组合管理

  • InfluxDB

    Power Real-Time Data Analytics at Scale. Get real-time insights from all types of time series data with InfluxDB. Ingest, query, and analyze billions of data points in real-time with unbounded cardinality.

    InfluxDB logo
  • OptimalPortfolio

    An open source library for portfolio optimisation

  • Beibo

    🤖 Predict the stock market with AI 用AI预测股票市场

  • OpenCPM-Architecture

    A public repository to facilitate the discussion / development of OpenCPM

  • SaaSHub

    SaaSHub - Software Alternatives and Reviews. SaaSHub helps you find the best software and product alternatives

    SaaSHub logo
NOTE: The open source projects on this list are ordered by number of github stars. The number of mentions indicates repo mentiontions in the last 12 Months or since we started tracking (Dec 2020).

Python portfolio-management related posts

  • Distribution Characteristic Optimisation: Extends classical portfolio optimisation to take the skewness and kurtosis of the distribution of market invariants into account. Portfolio Selection and Optimisation - star count:286.0

    1 project | /r/algoprojects | 18 Jun 2022
  • Distribution Characteristic Optimisation: Extends classical portfolio optimisation to take the skewness and kurtosis of the distribution of market invariants into account. Portfolio Selection and Optimisation - star count:286.0

    1 project | /r/algoprojects | 17 Jun 2022
  • Distribution Characteristic Optimisation: Extends classical portfolio optimisation to take the skewness and kurtosis of the distribution of market invariants into account. Portfolio Selection and Optimisation - star count:286.0

    1 project | /r/algoprojects | 16 Jun 2022
  • Distribution Characteristic Optimisation: Extends classical portfolio optimisation to take the skewness and kurtosis of the distribution of market invariants into account. Portfolio Selection and Optimisation - star count:286.0

    1 project | /r/algoprojects | 15 Jun 2022
  • Distribution Characteristic Optimisation: Extends classical portfolio optimisation to take the skewness and kurtosis of the distribution of market invariants into account. Portfolio Selection and Optimisation - star count:286.0

    1 project | /r/algoprojects | 14 Jun 2022
  • Distribution Characteristic Optimisation: Extends classical portfolio optimisation to take the skewness and kurtosis of the distribution of market invariants into account. Portfolio Selection and Optimisation - star count:286.0

    1 project | /r/algoprojects | 13 Jun 2022
  • Advice on tools and frameworks for Credit Portfolio Management

    1 project | /r/open_risk | 18 May 2021
  • A note from our sponsor - SaaSHub
    www.saashub.com | 10 May 2024
    SaaSHub helps you find the best software and product alternatives Learn more →

Index

What are some of the best open-source portfolio-management projects in Python? This list will help you:

Project Stars
1 mlfinlab 3,787
2 Empyrial 869
3 OptimalPortfolio 343
4 Beibo 77
5 OpenCPM-Architecture 7

Sponsored
SaaSHub - Software Alternatives and Reviews
SaaSHub helps you find the best software and product alternatives
www.saashub.com