Python toolkit for quantitative finance
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Updated
Sep 18, 2024 - Jupyter Notebook
Python toolkit for quantitative finance
8 Lessons, Kick-start Your Cybersecurity Learning.
陌陌风控系统静态规则引擎,零基础简易便捷的配置多种复杂规则,实时高效管控用户异常行为。
Transparent and Efficient Financial Analysis
A Python Finance Library that focuses on the pricing and risk-management of Financial Derivatives, including fixed-income, equity, FX and credit derivatives.
Open-source infrastructure and data orchestration platform for risk decisioning
Quantitative analysis, strategies and backtests
A collection of sources of documentation, as well as field best practices, to build/run a SOC
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Tern is a software composition analysis tool and Python library that generates a Software Bill of Materials for container images and Dockerfiles. The SBOM that Tern generates will give you a layer-by-layer view of what's inside your container in a variety of formats including human-readable, JSON, HTML, SPDX and more.
Risk-First Software Development
Pre-crisis Risk Management for Personal Finance
Agile Threat Modeling Toolkit
Curated list of resources for security Governance, Risk Management, Compliance and Audit professionals and enthusiasts (if they exist).
天网决策引擎系统
🚨ATTENTION🚨 The NIST 800-53 mappings have migrated to the Center’s Mappings Explorer project. See README below. This repository is kept here as an archive.
A collection of awesome projects, blog posts, books, and talks on quantifying risk
This is a Cryptocurrency Trading bot on DeFi that works in multiple Chain with unique trading strategies for cryptocurrencies. It performs automated technical analysis of cryptocurrencies, manages risk, reduces slippage and has customizable strategies such as Stop Loss and Buy the Dip.
An open source library for portfolio optimisation
Comprehensive automatic differentiation in C++
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