šŸ’¼ Portfolio Optimizer

Optimize asset allocation using Modern Portfolio Theory

šŸ“Š Asset Allocation

šŸ“ˆ Stocks
60%
šŸ¦ Bonds
30%
šŸ’° Cash
10%

šŸ“ˆ Optimization Results

Expected Return
8.5%
Risk (Volatility)
12.3%
Sharpe Ratio
0.69