Stock Market Analysis and Prediction
Check out our code here!

After nearly 4 months of hard data science work during quarantine, the Glen Pi Geeks were finally ready to start working on a new challenge: Python for Finance. Assisted by the book "Modern Portfolio Theory and Investment Analysis" published by Wiley, we were able to learn the basics of investment portfolios and what they entail. We brushed up on the basics of trading in portfolios and different statistics that we might have to monitor, like correlation, covariance, and volatility. These statistics allowed us to analyze various stocks using technical analysis to determine the best stocks to choose from.
Want to check out our code? The link to the workbook is at the top of the post!