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Freelance In Study 2024

Portfolio Management

Advanced portfolio management tool specifically designed for Iranian financial markets. Includes risk analysis using Modern Portfolio Theory, automated data collection from TSETMC, and optimization algorithms for asset allocation.

Role
Full Stack Developer & Quant
Duration
Ongoing
500+
stocks tracked
Real-time
price updates
10+
risk metrics
5K+
portfolios
TECH STACK

Technologies Used

DjangoDRFMySQLNumPyPandas
FEATURES

Key Features

  • Real-time TSETMC data
  • Risk metrics (VaR, Sharpe)
  • Portfolio optimization
  • Historical backtesting
  • Alert system
  • Export to Excel
  • LEARNINGS

    Challenges & Solutions

    Key technical challenges encountered and how they were overcome.

    Data Collection

    Built resilient scrapers with retry logic for Iranian markets

    Optimization Speed

    Implemented GPU-accelerated Monte Carlo simulations

    Compliance

    Adhered to SEO regulations for financial tools

    GALLERY

    Project Screenshots

    Visual tour of the project interface and key features.

    Dashboard View

    Analytics

    Settings

    💡 Add your screenshots to images/projects/portfolio/

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