Everything we've built for investment analysis in one place. Portfolio backtesting, daily stock picks, God-Mode analytics, and multi-asset dashboards across stocks, mutual funds, forex, and crypto.
Live side-by-side comparison of all 4 asset classes. Win rates, average returns, and top algorithms fetched in real-time from each system's API. Use this to decide which market is performing best right now.
Two generations of stock backtesting engines. v1 has Questrade fee modeling and VIX volatility filter. v2 adds 91 algorithms, God-Mode ensembles, walk-forward validation, and advanced analytics.
Backtesting engine with Questrade Canada fee modeling ($0 stock commissions, CDR detection, 1.75% forex for US stocks). VIX volatility filter, What-If simulator, and Optimal Finder.
NAV-based backtesting for Canadian mutual funds. v1 covers 20+ funds with expense ratio tracking. v2 adds 10 selection algorithms and 12 portfolio templates.
Currency pair analysis with pip-based cost modeling. Trend following, carry trade, mean reversion, breakout, and scalping across 15 major, cross, and exotic pairs.
Cryptocurrency backtesting with exchange fee modeling. DCA strategies, momentum, breakout, and volatility-adjusted sizing for BTC, ETH, SOL, and altcoins.
Daily algorithm-generated stock picks with SHA-256 pre-commitment, plus research tools and automated reports.
AI-validated stock picks updated daily before market open. SHA-256 pre-commitment for trust.
View Today's PicksResearch tools, data exploration, and methodology. Predictive Alpha vs Supercomputers.
Open ResearchAutomated daily performance report with win/loss tracking for the v1 engine.
View ReportAutomated daily performance report for the mutual funds v1 portfolio.
View ReportGod-Mode analytics powered by the v2 engine. Algorithm leaderboard, ticker deep profiles with 30+ indicators, walk-forward validation, regime analysis, risk reports, and more.
Multi-metric ranking. Composite score: Sharpe ratio, win rate, avg return.
View Leaderboard30+ indicators: RSI, MACD, Bollinger, TTM Squeeze, Supertrend, Ichimoku, buy/sell verdict.
View MSFT ProfileAnti-overfitting. Rolling-window OOS testing. ROBUST / MODERATE / WEAK scoring.
Run Walk-ForwardBull, bear, sideways breakdown. SPY 20-day trend. Which algos thrive where.
View Regime AnalysisVaR 95%/99%, CVaR, return distributions, worst picks, tail risk exposure.
View Risk ReportSharpe, Sortino, Calmar, Kelly, VaR, equity curve, drawdowns, monthly returns.
View AnalyticsPer-algorithm deep analysis: pick count, date range, score, top tickers, family breakdown.
View ReportGitHub Actions workflows that keep data fresh. Prices, NAV data, picks, and simulations run automatically on schedule.
Fetches latest Yahoo Finance prices and runs algorithm picks. Mon-Fri at 22:30 & 14:00 UTC.
Refreshes mutual fund NAV data and runs fund selection algorithms. Mon-Fri at 22:30 & 14:00 UTC.
Refreshes all 4 asset class portfolio data. Daily at 23:30 UTC + weekly deep refresh on Sundays.
Weekly exhaustive stock simulation scanning thousands of parameter permutations. Sundays at 06:00 UTC.
Health monitoring, algorithm win rates, permutation scan results, and learning analysis for each portfolio engine.
DB health, win rates, permutation scans, learning analysis for the v2 engine.
View StatusSystem statistics and health monitoring for the v1 portfolio engine.
View StatusSystem status and NAV refresh status for mutual funds.
View StatusSystem stats for the mutual funds v1 portfolio engine.
View StatusSystem status for the forex pairs portfolio engine.
View StatusHow the investment platform fits together. Data flows from Yahoo Finance / providers through our PHP APIs into MySQL, then surfaces through the portfolio dashboards and analytics tools.
Side-by-side comparison to help decide which market suits your risk tolerance and investment horizon.
| Metric | Stocks | Mutual Funds | Forex | Crypto |
|---|---|---|---|---|
| Algorithms (v2) | 91 | 10 | 8 | 10 |
| Algorithms (v1) | 13 | 10 | 8 | 10 |
| Risk Level | Med-High | Low | Medium | Very High |
| Market Hours | 9:30-4 ET | EOD NAV | 24/5 | 24/7 |
| Ideal Horizon | 1d - 1yr | 1 - 5 yrs | 1d - 3mo | 1d - 1yr |
| Commissions | $0 - $10 | $0 + MER | Spread | 0.1 - 0.5% |
| Leverage | 1-2x | None | Up to 50x | 1-5x |
| Data Provider | Yahoo Finance | NAV Feeds | Forex Feeds | Crypto Exchanges |
| Research Depth | 50+ yrs academic | Moderate | Carry/Trend | Emerging |
Direct JSON API endpoints for each asset class. All endpoints are public GET requests requiring no authentication.
Alternative entry points and legacy dashboards that link to the same underlying tools.
The v2 global hub with live algorithm data, cross-asset consensus, and full API reference.
Open v2 GlobalOriginal portfolio hub page linking the four asset class systems.
Open Legacy HubSimpler hub with cards for each asset class and feature highlights.
Open Tools Hub