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Lære Challenge: Calculate and Visualize Portfolio VaR | Advanced Analysis and Automation for Investors
Python for Investors

bookChallenge: Calculate and Visualize Portfolio VaR

Oppgave

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You are given an array of daily portfolio returns and a confidence level. Your task is to:

  • Complete the calculate_var function to compute the Value at Risk (VaR) at the specified confidence level using the historical method (percentile approach).
  • Complete the plot_var function to display a histogram of the returns and clearly indicate the VaR threshold on the plot.
  • Ensure that the VaR is returned as a positive float value.
  • Use only the libraries provided above.

The code provided includes sample portfolio returns and a confidence level. You should only modify the two functions indicated above.

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Seksjon 3. Kapittel 7
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bookChallenge: Calculate and Visualize Portfolio VaR

Sveip for å vise menyen

Oppgave

Swipe to start coding

You are given an array of daily portfolio returns and a confidence level. Your task is to:

  • Complete the calculate_var function to compute the Value at Risk (VaR) at the specified confidence level using the historical method (percentile approach).
  • Complete the plot_var function to display a histogram of the returns and clearly indicate the VaR threshold on the plot.
  • Ensure that the VaR is returned as a positive float value.
  • Use only the libraries provided above.

The code provided includes sample portfolio returns and a confidence level. You should only modify the two functions indicated above.

Løsning

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Alt var klart?

Hvordan kan vi forbedre det?

Takk for tilbakemeldingene dine!

Seksjon 3. Kapittel 7
single

single

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