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Systems and Methods Using an Algorithmic Solution for Analyzing a Portfolio of Stocks, Commodities and/or Other Financial Assets Based on Individual User Data to Achieve Desired Risk Based Financial Goals
Systems and Methods Using an Algorithmic Solution for Analyzing a Portfolio of Stocks, Commodities and/or Other Financial Assets Based on Individual User Data to Achieve Desired Risk Based Financial Goals
A multi-factor qualitative method for assessing assets including receiving market data from a plurality of market data sources for processing by a trading app to make decisions as to whether to buy, sell, or hold a particular market asset; applying a data normalizer to the market data for processing dissimilar sets of market data; receiving, by user input, a particular market asset in which a decision is required; processing, the market data by a complex event processing engine using an algorithmic solutions from a particular sector for market analysis of market data to generate a multi-factor model wherein the multi-factor model comprises: at least one of a set of a plurality of multi-factors related to the particular sector; applying, the multi-factor model by the trading app, to perform a multi-factor analysis making a decision whether to buy, sell or hold the market asset based on a normalized score.
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