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Found 35 Skills
Create agents for financial analysis, investment research, and portfolio management. Covers financial data processing, risk analysis, and recommendation generation. Use when building investment analysis tools, robo-advisors, portfolio trackers, or financial intelligence systems.
Interpret the three core financial statements (income statement, balance sheet, cash flow statement) to assess business health and performance. Use this skill when the user needs to read financial statements, understand profitability vs cash flow, evaluate a company's financial position, or prepare for investor/board meetings — even if they say 'explain these financials', 'are we making money', 'read this annual report', or 'what do these numbers mean'.
A-share Value Investment Analysis Tool that provides stock screening, in-depth individual stock analysis, industry comparison and valuation calculation functions. Based on value investment theory, it uses akshare to obtain public financial data, suitable for ordinary investors with low-frequency trading.
Build compelling business cases to justify investments and secure funding. Quantify benefits, assess costs, manage risks, and present compelling ROI arguments to leadership.
Analyze high-dividend strategies in A-shares, evaluate the sustainability of returns and long-term returns of dividend stocks. This skill is used when users ask about high-dividend stocks, dividend strategies, A-share dividend analysis, cash dividend coverage ratio, CSI Dividend Index components, dividend yield rankings, or long-term income-oriented investments.
Real-time stock sentiment analysis using Twitter/X data via Grok. Use when analyzing stock ticker sentiment, tracking retail investor mood, or gauging market reaction to events.
Retrieve real-time or historical cash flow statement data including Net Income, Operating Cash Flow, Investing Cash Flow, Financing Cash Flow, Free Cash Flow, and Cash Position for public companies. Use when analyzing cash generation, capital allocation, or liquidity trends.
Performs financial ratio analysis, DCF valuation, budget variance analysis, and rolling forecast construction for strategic decision-making
Retrieve financial health scores including Altman Z-Score and Piotroski Score for public companies. Use when assessing bankruptcy risk, financial strength, value investing screening, or credit quality analysis.
Create professional financial charts and visualizations using Python/Plotly. Use when building Sankey diagrams (income statement flows, revenue breakdowns), waterfall charts (profit walkdowns, revenue bridges), bar charts (margin comparisons, segment breakdowns), or line charts (trend analysis, multi-company comparisons). Triggers on chart creation requests, financial visualization needs, or data presentation tasks.
A Yahoo Finance (yfinance) powered financial analysis tool. Get real-time quotes, generate high-resolution charts with moving averages + indicators (RSI/MACD/Bollinger/VWAP/ATR), summarize fundamentals, and run a one-shot report that outputs both a text summary and a Pro chart.
Apply the Capital Asset Pricing Model (CAPM) to estimate expected returns and assess risk-return tradeoffs. Use this skill when the user needs to calculate expected return on an asset, interpret beta as systematic risk exposure, evaluate whether an investment compensates for risk, or when they ask 'what return should I expect', 'what is the risk premium', or 'how does beta affect pricing'.