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    https://sophisticatedspectra.com/article/drosia-serenity-a-modern-oasis-in-the-heart-of-larnaca.2521391.html

    DROSIA SERENITY
    A Premium Residential Project in the Heart of Drosia, Larnaca

    ONLY TWO FLATS REMAIN!

    Modern and impressive architectural design with high-quality finishes Spacious 2-bedroom apartments with two verandas and smart layouts Penthouse units with private rooftop gardens of up to 63 m² Private covered parking for each apartment Exceptionally quiet location just 5–8 minutes from the marina, Finikoudes Beach, Metropolis Mall, and city center Quick access to all major routes and the highway Boutique-style building with only 8 apartments High-spec technical features including A/C provisions, solar water heater, and photovoltaic system setup.
    Whether for living or investment, this is a rare opportunity in a strategic and desirable location.

    Advanced Portfolio Optimization with Excel & Python

    Posted By: naag
    Advanced Portfolio Optimization with Excel & Python

    Advanced Portfolio Optimization with Excel & Python
    English | 2025 | ASIN: B0F3GKWNZQ | 518 pages | Epub | 636.37 KB

    Advanced Portfolio Optimization with Excel & Python
    Master Quantitative Investing with Real-World Applications

    Unlock the full power of modern portfolio theory, machine learning, and quantitative finance using two of the most accessible tools in your arsenal: Excel and Python.

    This advanced guide is designed for serious investors, analysts, and finance professionals who want to go beyond basic models and learn how to engineer high-performance portfolios. Inside, you’ll find a deep dive into risk-adjusted strategies, multi-factor models, regime switching, Monte Carlo simulations, Black-Litterman adjustments, and more—anchored by code and practical Excel frameworks you can apply immediately.

    Whether you're managing capital or building algorithms, this book offers you the tools to:

    Construct robust portfolios with modern optimization techniques

    Combine fundamental and technical factors in allocation decisions

    Apply risk-parity, volatility targeting, and regime-based tilts

    Leverage Python for backtesting and Excel for scenario analysis

    Bridge academic theory with real-world portfolio management

    With a dual emphasis on financial insight and hands-on execution, this book is ideal for those who want more than just theory—it’s for builders, quants, and future fund managers.