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Found 104 Skills
When the user wants to optimize energy supply chains, coordinate oil and gas logistics, or manage energy infrastructure. Also use when the user mentions "energy transportation," "pipeline management," "energy distribution," "oil and gas supply chain," "LNG logistics," "petroleum logistics," "energy asset management," or "energy infrastructure." For renewable energy, see renewable-energy-planning. For power grids, see power-grid-optimization.
Use this skill whenever the user wants to paper trade, simulate trades, virtual trading, demo mode, practice trading, backtest strategies, test strategy performance, use paper money, manage a virtual portfolio, track simulated P&L, or do risk-free trading on Polymarket prediction markets. Also use when the user asks about their portfolio, positions, trade history, or performance report for paper trading. This is the core trading engine — it executes simulated trades against real live Polymarket prices with zero financial risk.
Cross-functional what-if modeling for cascading multi-variable scenarios. Unlike single-assumption stress testing, this models compound adversity across all business functions simultaneously. Use when facing complex risk scenarios, strategic decisions with major downside, or when the user asks 'what if X AND Y both happen?'
Expert project management covering planning, execution, stakeholder management, risk mitigation, and delivery excellence.
Expert in compliance frameworks (SOC2, ISO 27001), automated auditing, and risk management.
Plan and track projects with timelines, resources, and risk management
Give your agent a budget, a target, and a deadline — it does the rest. Orchestrates DSL + Opportunity Scanner + Emerging Movers into a full autonomous trading loop on Hyperliquid. Race condition prevention, conviction collapse cuts, cross-margin buffer math, speed filter. 3 risk profiles: conservative, moderate, aggressive. Use when setting up autonomous trading, creating a trading strategy, or running a scan-evaluate-trade-protect loop.
Identifies dependencies at heightened risk of exploitation or takeover. Use when assessing supply chain attack surface, evaluating dependency health, or scoping security engagements.
Portfolio risk analysis including Value at Risk (parametric, historical, Monte Carlo), Conditional VaR, stress testing, drawdown analysis, and factor exposure assessment.
Project management expert for Agile, estimation, risk management, and stakeholder communication
Binance new cryptocurrency trading auxiliary Skill. It provides structured support covering Binance new coin announcement alerts, pre-position opening risk checks, trading plan recording and subsequent review. It is suitable for ordinary Binance users, new coin followers, futures users prone to impulsive position opening, and people who want to build a more rational trading process. It supports logic-only mode and live-data mode; in live-data mode, it can rely on backend-integrated data sources (such as Binance public market data, Coinglass, GMGN.ai) to enhance judgment.
Estimate potential future losses using VaR, Expected Shortfall, Monte Carlo simulation, and stress testing. Use when the user asks about Value-at-Risk, CVaR, Expected Shortfall, scenario analysis, stress testing, or factor-based risk decomposition. Also trigger when users mention 'how much could I lose', 'worst-case scenario', 'tail risk', 'risk budget', 'component VaR', 'marginal VaR', '99% confidence loss', 'Monte Carlo simulation', or ask how to project portfolio risk forward.