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Fundamentals and Strategies in Portfolio Management: A Python Approach

Module Organization

The code and notes will be organized into separate modules, each focusing on a specific aspect of portfolio analysis. The proposed structure is as follows:

Core Topics:

  1. Understanding Returns and Assessing Risks with Value at Risk
  2. Essentials of Portfolio Optimization
  3. Strategies Beyond Diversification
  4. Fundamentals of Asset-Liability Management

After earning certification from EDHEC Business School, I translated complex financial theories into practical Python modules, openly shared under the MIT License.