Quantitative Finance

Quantitative finance is a field that applies mathematical and statistical methods to analyze financial markets and instruments. It involves developing models and algorithms to price derivatives, manage risk, and make investment decisions based on quantitative analysis of market data.

Free Stock Prices in Python Made Easy | yFinance

Use ChatGPT INSIDE Excel | Retrieve Any Data With OpenAI’s API

Calculate Sharpe Ratio In Excel

Investment Performance Evaluation in Excel: Sharpe Ratio, Treynor Ratio & Jensen’s Alpha

How to Estimate the Beta of a Stock in Excel

Interest Rate Swaps Explained | Example Calculation

Historical Method: Value at Risk (VaR) In Excel

Monte Carlo Method: Value at Risk (VaR) In Excel

Parametric Method: Value at Risk (VaR) In Excel

Stock Portfolio Monte Carlo Simulation In Excel

Hire me for your next Project

I can assist you with your financial modeling and quantitative finance projects, leveraging my expertise and experience in the field.

Contact Me

Feel free to reach out to discuss your freelance project needs, and let’s collaborate on bringing your vision to life!