I am a Mathfin graduate from a top US university and have done such projects in academic and professional setting.
I have built various trading strategies based on fundamental and technical indicators and created general investing framework consisting of various financial and macro variables for asset valuation and optimal price discovery.
I have fair amount of experience in financial modeling, econometrics and data science modeling in Python and R. I have implemented many macro-econometric models in python and R in financial setting.
I am comfortable with R packages: e1071,randomForest,gbm,zoo, rugarch,fGarch,quantmod,lubridate,dplyr,timeSeries,lattice etc.
I am comfortable in the usual packages(pandas,numpy,scipy etc) and specific stat and machine learning packages like statsmodels, sklearn,tensorflow, theano etc.
I am really proficient in Python and R and can do these implementations with rigorous detail.
I am a new freelancer here and looking to build my profile.
Let me know more about the task, so that I can take a look