Financial modelling in Python
Project description
Financial modelling with Python and Pandas
Implemented functions:
- Basic calculations
- Net present Value
- Internal rate of returns
- Flat loan payments
- Future value
- Continuously compounded interest rate
- Enterprise value
- Free Cash Flows
- Weighted average cost of capital and DCF
Based on this book Financial Modeling by Simon Benninga
Changelog
v0.2:
- switched to financialmodelingprep.com API for financials
- pypi release
- readthedocs release
Features in the next releases
- optimal portfolio calculation
- caching of API results
Documentation
The latest docs are available here. Blog posts 1 and 2 are referring to version 0.1 and are not updated.
Installation
Easiest way to install is to use pip
pip install pyfinmod
Support
- Create and issue in this repo
- Send me am email msc.smirnov.am+pyfinmod@gmail.com
- Shoot me a message in Linkedin
Project details
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