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Author's Biography

Vahid Bisadi holds a PhD from Texas A&M University, where he specialized in developing probabilistic risk and reliability models for structures subject to natural catastrophes. During his postdoctoral research at Rice University, Vahid learned that the principles of risk analysis used in engineering could also be effectively applied to finance. This realization ignited his passion for investing, prompting him to explore the stock market actively while pursuing academic courses and delving into finance literature.

After completing his academic journey in 2013, Vahid relocated to Silicon Valley, where he worked as a Risk Modeler at Moody's RMS before moving on to SAP as a Data Scientist and AI expert. His career in AI, combined with his expertise in finance and risk modeling, led him to create an investment framework that blends AI technologies with traditional financial strategies. This innovative approach has boosted his success in the stock market. In this book, he shares the insights and strategies that helped him achieve these results.

When he isn’t working, Vahid enjoys playing soccer, traveling, and hiking the beautiful trails of California with his family.

© 2025 Vahid Bisadi All Rights Reserved.

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