Further Implementation of
Автор: Entreprenerdly
Загружено: 2024-02-23
Просмотров: 170
Описание:
Welcome back to the second #tutorial of dynamic #risk #management techniques implemented in #python. Building on the foundation laid in Part 1, this video dives into eight additional #data #science methods tailored to measure the extremities, stability, and investor sentiments in #financial #markets.
Techniques Covered:
8. Tail Ratio
9. Omega Ratio
10. Sortino Ratio
11. Calmar Ratio
12. Stability of Returns
13. Maximum Drawdown
14. Upside Capture and Downside Capture
15. Pain Index
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