Showing 37 open source projects for "risk"

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  • 1
    Kalshi Trading Bot CLI

    Kalshi Trading Bot CLI

    AI-native CLI for trading Kalshi prediction markets

    ...It operates by conducting deep research on events, generating independent probability estimates, and comparing those estimates against current market prices to identify trading opportunities. The system incorporates advanced decision-making logic, including Kelly criterion-based position sizing and a structured multi-step risk evaluation process before executing trades. Built as a CLI application, it allows traders to interact programmatically with markets, making it suitable for automation and integration into larger trading pipelines. The tool emphasizes disciplined trading through its risk engine, ensuring that decisions are filtered through multiple validation layers before capital is committed.
    Downloads: 32 This Week
    Last Update:
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  • 2
    AutoHedge

    AutoHedge

    Build your autonomous hedge fund in minutes

    ...It also emphasizes modularity, enabling developers to customize strategies, risk parameters, and decision logic. AutoHedge is particularly useful for experimentation and research in algorithmic trading and financial automation. Overall, it represents an attempt to bring agent-based intelligence into portfolio management and risk mitigation workflows.
    Downloads: 0 This Week
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  • 3
    ThetaGang

    ThetaGang

    ThetaGang is an IBKR bot for collecting money

    ...For one, it's intended to be used to augment a typical index-fund-based portfolio with specific asset allocations. For example, you might want to use a 60/40 portfolio with SPY (S&P500 fund) and TLT (20-year treasury fund). This strategy reduces risk, but may also limit gains from big market swings. By reducing risk, one can increase leverage. ThetaGang will try to acquire your desired allocation of each stock or ETF according to the weights you specify in the config. To acquire the positions, the script will write puts when conditions are met.
    Downloads: 0 This Week
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  • 4
    Awesome-Quant

    Awesome-Quant

    A curated list of insanely awesome libraries, packages and resources

    awesome-quant is a curated list (“awesome list”) of libraries, packages, articles, and resources for quantitative finance (“quants”). It includes tools, frameworks, research papers, blogs, datasets, etc. It aims to help people working in algorithmic trading, quant investing, financial engineering, etc., find useful open source or educational resources. Licensed under typical “awesome” list standards.
    Downloads: 2 This Week
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  • 5
    FinGPT

    FinGPT

    Open-Source Financial Large Language Models

    ...The platform typically includes tools for fine-tuning, context engineering, and prompt templating, enabling users to build specialized assistants for tasks like sentiment analysis, earnings summary generation, risk profiling, trading signal interpretation, and document extraction from financial reports.
    Downloads: 4 This Week
    Last Update:
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  • 6
    FinRobot

    FinRobot

    An Open-Source AI Agent Platform for Financial Analysis using LLMs

    ...The framework also tends to include automation layers for deployment, enabling trained models to operate in live or simulated environments with scheduled re-training and risk controls in place.
    Downloads: 2 This Week
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  • 7

    Kalshi-Quant-TeleBot

    Kalshi Advanced Quantitative Trading Bot is an enterprise-grade

    Kalshi Advanced Quantitative Trading Bot is an enterprise-grade automated trading system designed for the Kalshi event-based prediction market. Built with cutting-edge quantitative algorithms and professional risk management, it provides institutional-quality trading capabilities with user-friendly control The Kalshi Advanced Quantitative Trading Bot is a professional-grade automated trading system designed specifically for event-based markets on the Kalshi platform. This bot leverages advanced quantitative strategies, machine learning techniques, and real-time data analysis to identify profitable trading opportunities while maintaining robust risk management protocols. ...
    Downloads: 3 This Week
    Last Update:
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  • 8
    ManagerSheet

    ManagerSheet

    A one-page investment portfolio report

    ManagerSheet is a one-page investment portfolio report, that analyses and presents an investment portfolio with respect to: - Performance - Investment style - Risk More information on the report concept and instructions on how to create one's own portfolio reports can be found at the ManagerSheet Web Site under the "Documentation" section. Please note that the project is in alpha stage.
    Downloads: 0 This Week
    Last Update:
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  • 9
    Forex Assistant

    Forex Assistant

    Manage accounts, analyze trades, track strategies & stats , News & Cal

    Forex Assistant is a comprehensive Windows desktop application designed to support forex traders in every aspect of their trading journey. From essential trading calculators and market insights to powerful account and trade management, it brings everything you need into one intuitive platform. 🔑 Main Features 🧮 Calculator Tools Profit/Loss Calculator Currency Converter Position Size Calculator Pips Calculator Margin Calculator 🌍 Market Insights Live Market News Economic...
    Downloads: 6 This Week
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  • 10
    AutoTrader

    AutoTrader

    A Python-based development platform for automated trading systems

    ...It provides tools for backtesting, strategy optimization, visualization, and live trading integration. A feature-rich trading simulator, supporting backtesting and paper trading. The 'virtual broker' allows you to test your strategies in a risk-free, simulated environment before going live. Capable of simulating multiple order types, stop-losse,s and take-profits, cross-exchange arbitrage and portfolio strategies, AutoTrader has more than enough to build a profitable trading system.
    Downloads: 5 This Week
    Last Update:
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  • 11
    How to Make More Money

    How to Make More Money

    How Programmers Can Earn Pocket Money Elegantly, Version 2.0

    ...It is organized into topical segments—such as passive income, side hustles, financial instruments, learning methods, and mindset changes—along with recommended reading and toolkits. The intention is to guide individuals in thinking systematically about generating revenue streams, avoiding get-rich-quick traps, and evaluating risk/reward tradeoffs. Contributors can suggest additions or commentary, turning it into a curated knowledge base rather than a rigid program. Because it’s not a software application, the “code” is minimal; instead the value lies in structured content and links to external resources. Readers use it as a compass for planning personal growth and financial experiments rather than a turnkey solution.
    Downloads: 0 This Week
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  • 12
    OpenPPM

    OpenPPM

    Project Portfolio Management

    Open PPM is an open source product, used for Project Management and Project Portfolio Management, in accordance with the PMBOK® (Project Management Body of Knowledge) guide, from PMI® (Project Management Institute).
    Downloads: 3 This Week
    Last Update:
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  • 13
    CCruncher

    CCruncher

    Open-Source Project for Credit Risk Modeling

    CCruncher is a project for quantifying portfolio credit risk using the copula approach. It is a framework consisting of two elements: a technical document that explains the theory, and a software program that implements it. CCruncher evaluates the portfolio credit risk by sampling the portfolio loss distribution and computing the Expected Loss (EL), Value at Risk (VaR) and Expected Shortfall (ES) statistics.
    Downloads: 1 This Week
    Last Update:
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  • 14
    A quantitative finance C++ library for modeling, pricing, trading, and risk management in real-life. A cross-platform free/open-source tool for derivatives and financial engineering.
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    Downloads: 315 This Week
    Last Update:
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  • 15
    Stock Trade Calculator

    Stock Trade Calculator

    Stock Calculator App used to help determine Risk to Reward and Profit

    Stock Trader Calculator helps Show your Risk to Reward Ratio, the amount at risk and your projected profit. Enter the amount of cash available to trade, your Buy price, Sell Price, The number of shares to buy and your projected stop price. The Calculator will show your projected profit, the amount you are risking, Risk to Reward Ratio, and the Cost of the trade.
    Downloads: 0 This Week
    Last Update:
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  • 16
    PortOpt

    PortOpt

    A portfolio-optimizer using Markowitz(1952) mean-variance model

    PortOpt [Portfolio Optimizer] is a C++ program (with Python binding) implementing the Markowitz(1952) mean-variance model with agent's linear indifference curves toward risk in order to find the optimal assets portfolio under risk. You have to provide PortOpt (in text files or - if you use the api - using your own code) the variance/covariance matrix of the assets, their average returns and the agent risk preference. It returns the vector of assets' shares that composes the optimal portfolio. ...
    Downloads: 0 This Week
    Last Update:
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  • 17
    Fin-Plus

    Fin-Plus

    Real-time component framework

    Beta Framework with a bespoke Fintech design pattern for Investment Banks and Fund Managers provides structure and real-time components for pricing, trade processing, P&L and risk applications. Investment Banks and Fund Managers have numerous applications, our objective is to normalize these applications providing a real-time Technical Debt free, highly Scalable, Agile framework with better Project Silos. Remove costly fixed layers with a Template Driven Design in-memory queryable functional real-time reactive solution that can run services local, remote, distributed or mixed, with integrated Testing, Permissions and Audits. ...
    Downloads: 0 This Week
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  • 18
    myopentrader

    myopentrader

    Open-source complex-event based trading engine

    ...MOT is distributed under the GPL v3 License and is free to use for everyone without warranty. MyOpenTrader.org is not responsible for any of your trading losses and can not be held accountable. Use the framework at your OWN risk. MOT is written purely in Java (1.6++) and has dependencies on a DB as well as a MQ Broker (such as ActiveMQ).
    Downloads: 0 This Week
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  • 19
    Trad4 is a fully concurrent, thread safe, graph-based programming language that scales linearly on multiple cores. It is initially intended for deployment in the financial industry to model real-time risk.
    Downloads: 2 This Week
    Last Update:
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  • 20
    CreditAnalytics

    CreditAnalytics

    Full featured financial fixed-income, credit, and bond analytics/risk

    CreditAnalytics is a full-featured financial fixed income credit analytics, trading, and risk library, developed with a special focus towards the needs of the credit products community. In particular, CreditAnalytics provides analytics to value liquid products (CDS, CDX, CDO, and bonds of all types and variants) and semi-liquid/custom products (single credit forwards and options, and portfolio credit forwards, options, tranches, and other structures).
    Downloads: 2 This Week
    Last Update:
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  • 21
    Trading system written in Python including Quotes Management, Historical and live data, Import/Export data, Charting, Candlestick, Technical analysis, automated alerts, portfolio management, risk management, currency exchange, and much much more ...
    Downloads: 0 This Week
    Last Update:
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  • 22
    Octopus Microfinance
    ...With flexible and intuitive technology, our clients benefit from improved loan, savings portfolio management, interactive client relationship management, integrated accounting and proactive risk management. Founded on best practices principles, Octopus brings tangible value-added benefits to your microfinance operations.
    Downloads: 3 This Week
    Last Update:
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  • 23
    GeniusTrader

    GeniusTrader

    GeniusTrader is a stock market trading systems toolkit

    GeniusTrader aims to be a full featured toolbox for creating stock market trading systems based on Technical-Analysis methods. GeniusTrader implements trading systems defined in terms of: specific entry-exit points, current cash, current positions, trade type and most traditional technical analysis indicators. Market data time-periods range from ticks to years. Backtesting defined trading systems as well as tools to develop and test technical market indicators are provided. Visit...
    Downloads: 0 This Week
    Last Update:
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  • 24
    The Risk-o-Mat will provide the user with a web based overview of her or his risk position. helping small/medium sized businesses to valuate their risks, and manage preventive and reactive measures. The main focus is on the german situation.
    Downloads: 0 This Week
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  • 25
    The OpenStreet Portfolio Manager is a full portfolio management system, including valuation, risk analysis and portfolio tracking.
    Downloads: 0 This Week
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