Welcome to the rebalanced.finance Lab. A cornucopia of diy python financial analysis projects, tools, and tutorials.
AboutUpcoming projects
- Harry Brown’s Permanent Portfolio and Investing in Different Economic Regimes
- Systematic Credit Strategy — Curve Carry
- Wealth Accumulation Models
- Modeling Mortgage Payoff Scenarios
Chart(s) i’m staring at


latest updates

Permanent Portfolio in Python Part I — Quantifying Historical Asset Performance Across Economic Regimes Using Pandas, Numpy, and Scipy

total return or bust part ii: using bond yields to estimate treasury total returns with pandas and numpy financial

housing affordability analysis in python

total return or bust part i: stonks

python x tiingo — a buttery smooth api for stock and crypto prices
Projects
level 1 - intern
1level 2 - finance bro
2level 3 - hedge fund chad
0level 4 - galaxy brain
0I am not active on social media. If you’d like to be notified of new tutorials when they drop, consider hopping on my mailing list.
-murph