This repository demonstrates how to build a simplified, automated hedge fund strategy powered by AI/ML. It integrates financial data collection, preprocessing, feature engineering, and predictive modeling to simulate decision-making in trading. The code shows workflows for pulling stock or market data, applying machine learning algorithms to forecast trends, and generating buy/sell/hold signals based on the predictions. Its structure is educational: intended more as a proof-of-concept than a ready-to-use financial product, giving learners insight into the mechanics of quantitative finance automation. The project underlines AI’s potential in investment strategies but also carries disclaimers that it is for research and not financial advice. The implementation is designed so developers can study the pipeline end-to-end: from data ingestion through modeling to simulated portfolio management.

Features

  • End-to-end pipeline from financial data collection to portfolio decisions
  • Machine learning models to predict market behavior
  • Feature engineering examples tailored to stock data
  • Automated trading signal generation (buy/sell/hold)
  • Example scripts for backtesting strategies on historical data
  • Educational proof-of-concept design, not production-ready finance code

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Financial

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Additional Project Details

Programming Language

Python

Related Categories

Python Financial Software

Registered

2025-10-01