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That special class of strategies based on our predictions of trends for particular financial instruments (positive or negative).
These strategies analyze a large volume of market data (orderbook, trades, addional info about liqidation orders and so on), then forecasting the future behavior of the asset price. Based on these predictions, the strategy makes a decision to buy or sell assets.
Such strategies show high returns, but they are accompanied by increased risks. We actively use the ML, and all sorts of new Data Sources to reduce these risks.