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Advanced Concepts in Portfolio Construction and Analysis: Leveraging Python

  • Advanced Insights into Style and Factor Exposures for Portfolio Optimization
  • Strategies for Robust Covariance Matrix Estimation in Portfolio Management
  • Integrating the Black-Litterman Model for Enhanced Portfolio Analysis
  • Diversified Approaches in Robust Portfolio Construction Techniques

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