geopolitical-risk-volatility-analysis jasonrkeen · COMPLETED
Python-based quantitative study analyzing whether U.S., China, and Russia geopolitical risk explains or forecasts U.S. market volatility using VIX, GPR indexes, macroeconomic controls, regression modeling, and forecasting backtesting.
github.com/jasonrkeen/geopolitical-risk-volatility-analysis · ★ 0 · Forks 1 · Size 6.4 MB
SUMMARY
Technologies 3
Scored 3
Observed 3
Practices 6
Evidence 3
Skips 0
COVERAGE
Analyzed 28 files · 1 commits · 0 API calls
TECHNOLOGIES & DEPTH
Markdown LANGUAGE Depth 70
1 files · PRODUCTION
Python LANGUAGE Depth 70
1 files · PRODUCTION
pandas LIBRARY Depth 54
1 files · PRODUCTION
PRACTICES
documentation · observedautomated_tests · observedcontinuous_integration · absentcontainerization · absentlinting · absentformatting · absent
ACTIVITY & OWNERSHIP
First commit 2026-05-08
Last commit 2026-05-08
Active months 1
Commits 1