I need someone who can handle to perform calculations related to stocks.
You should know how to calculate
1. Beta Value
2. Rate of Return
3. Standard Deviation
4. correlation
I am good at mathematical finance. I am data scientist and am proficient at implementing machine learning models and deep learning based models, both in R and python. I also am familiar with web-scrapping using python. I have good command over various regression and classification tasks. I have a background of theoretical mathematics and statistics.
I have a strong background of theoretical statistics and probability theory.
Hello,
I'm a Student of Finance in a Public University.I very well know that how to calculate
1. Beta Value
2. Rate of Return
3. Standard Deviation
4. correlation
I am very much interested on your project.I feel that I am the exact match for your requirements after thoroughly reviewing the job description and desired skills.
Thanks