I have a 206 companies from stock market and i have a Risk Matrix contain (60% liquidity, 20% Volatility, 20% Net Income) and I want to validate my result and do a correlation and other factors that help me to support my study.
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Hi, I know data analysis well. Also I have experience in risk estimation and analysis of stock data. I could help you. Please let me know if you are interested in my services. Regards, Alex.