clawdfolio
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- License — License: MIT
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- Active repo — Last push 0 days ago
- Community trust — 11 GitHub stars
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Multi-broker portfolio analytics — Fama-French, GARCH, covered call strategies (PyPI: pip install clawdfolio)
Clawdfolio
Multi-broker portfolio analytics toolkit — risk analytics, Fama-French factor exposure, GARCH forecasting, covered call strategy, and 20+ automated finance workflows.
Install
pip install clawdfolio # core (demo broker included)
pip install clawdfolio[longport] # + Longport broker
pip install clawdfolio[futu] # + Moomoo/Futu broker
pip install clawdfolio[all] # everything
Features
Portfolio Management: multi-broker aggregation (Longport, Moomoo/Futu), portfolio history snapshots, NAV curves, DCA-aware rebalancing proposals.
Risk Analytics: VaR/CVaR, Sharpe/Sortino, Beta, Max Drawdown, GARCH volatility forecasting, HHI concentration, 5 historical stress scenarios (COVID crash, 2022 bear, etc.).
Factor Analysis: Fama-French 3-factor exposure with alpha estimation.
Options: real-time Greeks, option chain snapshots, buyback trigger monitor.
Covered Call Strategy: Risk-driven CC signals backtested over 11 years — 83% win rate, +3.0% annualized alpha over buy-and-hold. Integrates Market-Bubble-Index bubble risk score for entry timing.
Quick Start
clawdfolio summary # portfolio overview
clawdfolio risk --detailed # risk metrics with RSI, GARCH
clawdfolio quotes AAPL TSLA NVDA # real-time quotes
clawdfolio factors # Fama-French 3-factor exposure
clawdfolio covered-call scan # covered call opportunities
from clawdfolio import create_broker
broker = create_broker("demo")
positions = broker.get_positions()
for pos in positions:
print(f"{pos.symbol}: {pos.quantity} shares @ {pos.cost_price}")
Tech Stack
Python, Click CLI, NumPy, pandas, scipy, arch (GARCH), yfinance, Streamlit
License
MIT — see LICENSE.
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