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PyPortfolioOpt — Portfolio Optimization

A Python library implementing classical and modern portfolio optimization: efficient frontier, Black-Litterman, HRP, and advanced risk models.

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PyPortfolioOpt

PyPortfolioOpt is a popular Python library for financial portfolio optimization and risk management. It implements the full workflow — from expected-returns and covariance estimation through mean-variance optimization — giving quants and researchers a clean, well-documented toolkit for constructing risk-aware portfolios.

Key features

  • Classical efficient-frontier (mean-variance) optimization with custom constraints
  • Robust covariance/risk models: Ledoit-Wolf shrinkage, semicovariance, EWMA
  • Black-Litterman allocation blending investor views with market equilibrium
  • Hierarchical Risk Parity (HRP) and CVaR/CDaR objective functions
  • Post-processing to convert continuous weights into discrete share allocations

A typical flow estimates expected_returns and a risk_model, then uses EfficientFrontier to maximize Sharpe or minimize volatility subject to constraints, returning portfolio weights ready to trade or analyze.

Curated mirror of the open-source PyPortfolioOpt (MIT). Get it from the source.

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