portfolioAnalytics documentation
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10
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700
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March 6, 2022
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Testing Feedback Topic
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1
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450
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October 23, 2021
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White Paper 4: Open Risk Model Taxonomy
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0
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456
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October 15, 2021
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Academy Course: Introduction to Input-Output Models using Python
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0
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420
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March 8, 2022
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Input Output Models as Graph Networks
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0
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386
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March 21, 2022
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Class Inheritance in Data Science
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2
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558
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December 29, 2022
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Matrix Data Formats
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2
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408
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April 23, 2024
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Concentration Measurement Using Python
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1
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609
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October 21, 2021
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Equinox: an open source platform that supports the holistic risk management in sustainable finance
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2
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476
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February 4, 2022
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Loan Level Templates Using Python
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1
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543
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October 21, 2021
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Managing Loan Portfolios Using MongoDB
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1
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496
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October 21, 2021
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Exploratory Risk Data Analysis Using Pandas, Seaborn and Statsmodels
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1
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489
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May 28, 2022
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Analysis of Credit Migration using Python TransitionMatrix
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0
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685
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October 20, 2021
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Getting Started with Open Source
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1
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460
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March 30, 2023
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The Periodic Table of Risk Elements
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0
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500
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October 20, 2021
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Can accounting ever be sexy?
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0
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496
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April 6, 2022
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Risk Taxonomy across main Risk Stripes
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2
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160
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August 22, 2023
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Risk Management Questions and Answers
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0
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490
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October 20, 2021
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Environmentally Extended Input-Output Models Glossary
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0
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489
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February 28, 2022
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Overview of Python Semantic Web Tools
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0
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489
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October 20, 2021
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Basel on Credit Concentration Risk
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0
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483
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October 20, 2021
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Introduction to the EBA NPL Templates
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0
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473
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October 20, 2021
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Welcome to the Open Risk Commons
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0
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475
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April 13, 2021
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Sustainable Portfolio Management
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0
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458
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December 3, 2021
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The Shortest Possible Course on Risk Management
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0
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452
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October 20, 2021
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Introduction to Credit Concentration
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0
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450
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October 20, 2021
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Getting Started with the Open Risk Academy
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0
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450
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October 19, 2021
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Measuring Credit Sector Concentrations
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0
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450
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October 20, 2021
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Credit Concentration in the UK Pillar II
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0
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439
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October 20, 2021
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Measuring Credit Name Concentrations
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0
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438
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October 20, 2021
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Intro to GeoJSON
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0
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432
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October 20, 2021
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White Paper 3: Introducing the Open Risk API
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0
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431
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October 15, 2021
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Open Risk Crossword Puzzles
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0
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427
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October 20, 2021
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About OpenCPM, the open credit portfolio management platform
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0
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417
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May 12, 2021
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Introduction to Risk Data Review
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0
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409
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October 20, 2021
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White Paper 9: Federated Credit Systems, Part I: Unbundling The Credit Provision Business Model
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0
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401
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October 15, 2021
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Introduction to the Open Risk Manual
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0
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397
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October 20, 2021
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Credit Contagion
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0
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395
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October 20, 2021
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White Paper 6: Stress Testing Methodology for FX Lending
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0
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391
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October 15, 2021
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openNPL 0.5 Release
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0
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388
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March 1, 2022
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EU Financial Regulations Quiz
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0
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386
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October 20, 2021
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Live OpenCPM Demo
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0
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385
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October 14, 2021
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White Paper 2: Confidence Capital: The Principle
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0
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382
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October 15, 2021
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White Paper 5: Identification Framework for Business Model Risks
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0
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379
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October 15, 2021
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Sustainable Finance Courses
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0
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377
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March 8, 2022
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White Paper 10: Connecting the Dots: Concentration, diversity, inequality and sparsity in economic networks
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0
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377
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October 15, 2021
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White Paper 1: Revisiting Simple Concentration Indexes
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0
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376
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October 15, 2021
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The Puzzle of Money
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0
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375
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October 20, 2021
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Academy CrashProgram Demo
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0
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372
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October 20, 2021
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White Paper 8: Connecting the Dots: Economic Networks as Property Graphs
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0
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373
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October 15, 2021
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