python finance

You pick a question that you find interesting and use methods from our class to provide statistical answers. This could be an investment portfolio problem, like HW4-7. It could be an analysis of predictability of important portfolio returns (the Mkt-RF, etc) using other interesting predictors. It could be an analysis of firm characteristics (eg profits, investment, stock returns) and their relationship to other firm characteristics (eg profits, investment, stock returns, industry). There is scope to be creative here

Write one py file that runs, displaying your results. Also create a powerpoint that your team presents — you’ll use it, and I’ll follow along.