Notice: This page requires JavaScript to function properly.
Please enable JavaScript in your browser settings or update your browser.
Oppiskele Challenge: Plot Portfolio and Asset Growth | Investment Metrics and Portfolio Analysis
Python for Investors

bookChallenge: Plot Portfolio and Asset Growth

Tehtävä

Swipe to start coding

You are given a pandas DataFrame containing monthly returns for three assets and a portfolio. Your task is to:

  • Calculate cumulative returns for each asset and the portfolio, starting at 1.0 and using the cumulative product of (1 + monthly return) for each series.
  • Plot all four cumulative return series on a single chart using matplotlib.
  • Add clear labels for each line, include a legend, and add an informative chart title.
  • Visually highlight (e.g., with shading or annotation) any period where the portfolio's cumulative return is higher than all three individual assets.
  • Display the plot.

Use only the provided libraries and do not modify the DataFrame structure or values.

Ratkaisu

Oliko kaikki selvää?

Miten voimme parantaa sitä?

Kiitos palautteestasi!

Osio 2. Luku 5
single

single

Kysy tekoälyä

expand

Kysy tekoälyä

ChatGPT

Kysy mitä tahansa tai kokeile jotakin ehdotetuista kysymyksistä aloittaaksesi keskustelumme

Suggested prompts:

Can you explain this in simpler terms?

What are the main takeaways from this?

Can you give me a real-world example?

close

bookChallenge: Plot Portfolio and Asset Growth

Pyyhkäise näyttääksesi valikon

Tehtävä

Swipe to start coding

You are given a pandas DataFrame containing monthly returns for three assets and a portfolio. Your task is to:

  • Calculate cumulative returns for each asset and the portfolio, starting at 1.0 and using the cumulative product of (1 + monthly return) for each series.
  • Plot all four cumulative return series on a single chart using matplotlib.
  • Add clear labels for each line, include a legend, and add an informative chart title.
  • Visually highlight (e.g., with shading or annotation) any period where the portfolio's cumulative return is higher than all three individual assets.
  • Display the plot.

Use only the provided libraries and do not modify the DataFrame structure or values.

Ratkaisu

Switch to desktopVaihda työpöytään todellista harjoitusta vartenJatka siitä, missä olet käyttämällä jotakin alla olevista vaihtoehdoista
Oliko kaikki selvää?

Miten voimme parantaa sitä?

Kiitos palautteestasi!

Osio 2. Luku 5
single

single

some-alt