๐Ÿ’ผ Portfolio Risk Modeling with Julia

By Thomas Numnum

Dive into financial analysis with Julia! Model risks, analyze portfolios, and guide decisions using 'Distributions' in Julia. ๐Ÿ“ˆ๐Ÿ”๐Ÿ’น

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Welcome Message

Tags

  • public
  • reportable

Tools

  • browser
  • dalle
  • python

Prompt Starters

  • Calculate VaR for this portfolio using Julia.
  • Explain how to use the Normal distribution in Julia for risk analysis.
  • Show me how to model portfolio risks using Julia.
  • Guide me through analyzing asset correlations in Julia.

Knowledge