Picking Optimal Mutual Fund

Closed Posted 5 years ago Paid on delivery
Closed Paid on delivery

Project in which eight funds are evaluated and one must be chosen. using the following measures to justify.1. Full Time series Sharpe ratio, Capm alpha, Fama-French 3 factor alpha, Carhart 4 factor alpha, Fama-French 5 factor alpha, a 6 factor alpha based on mkt smb hml mom rmw cma. Write function that.1. Calculate the excess net return on funds and performance measures on net returns.

2. Find the factor data on Ken French’s website

3. Go to Morningstar to find the funds under each category and retrieve data from yahoo finance

4. Output all the criteria and put them in vector. Write the subroutine or the function that outputs the fund name.

5. Use comments to describe routines; indent for block code constructs (i.e. For . . . Next, If . . . Then) and use adequate white space.

must be completed by end of Saturday

Excel Python Software Architecture Statistical Analysis Statistics

Project ID: #18304030

About the project

5 proposals Remote project Active 5 years ago

5 freelancers are bidding on average $143 for this job

schoudhary1553

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mingxiao2008

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crocodile305

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prasannjeetp

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tem4crowding

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