Analyse Financial Data with Python Capstone June 2025

Hi

Just finalised the project, was quite a workout :slight_smile: Github links below, let me know what you think.

I have picked seven stocks based on asset manager’s whispers and some on my own research. The portfolio is on the risky side but I wanted to invest in companies that are taking the advantage of AI revolution, as I truly believe we are in the cusp of a huge transformation of the world as we know it. At the very bottom of Jupyter file there are following outcomes: Minimum Risk, Max return, Optimal Risk-Return, Middle Range portfolio based on Medians.

Thank you!