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Explore investment performance using Python models, uncovering the risk-return relationship for higher returns.

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Risk-Return Analysis

In this project, I examined if riskier stocks provide higher returns when compared to their lower risk counterparts. I constructed volatility portfolios, i.e. portfolios that are constructed with different risk levels and evaluate the resulting portfolio returns.

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Explore investment performance using Python models, uncovering the risk-return relationship for higher returns.

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