π―Skills17
Retrieves upcoming earnings announcements for mid-cap and large US stocks, providing organized weekly calendar data via Financial Modeling Prep API.
Analyzes recent market-moving news events, collecting and ranking their impact on equity markets and commodities using web search tools.
Screens US stocks for high-quality dividend opportunities by combining value metrics, attractive yields, and consistent growth using two-stage API screening.
Analyzes global market environments by collecting real-time data on indices, forex, commodities, and economic indicators to generate comprehensive market reports.
Analyzes options strategies using Black-Scholes model, simulating trades, calculating Greeks, and providing risk management guidance for various options plays.
Analyzes US stocks by fetching real-time financial data, performing fundamental and technical assessments, and generating comprehensive investment insights.
Analyzes sector and industry performance charts to assess market positioning, predict rotation patterns, and provide strategic market insights.
Screens financial markets for statistically robust pair trading opportunities using correlation, cointegration, and mean-reversion analysis.
Detects potential US market bubbles by quantitatively analyzing key financial indicators like Put/Call ratio, VIX, and market breadth to support objective investment risk assessment.
Performs comprehensive technical analysis of weekly price charts, identifying trends, support/resistance levels, and probabilistic scenarios using pure chart data.
Analyzes market breadth charts to provide strategic and tactical investment insights, identifying key trend signals and positioning recommendations for different market conditions.
Analyzes news headlines to generate comprehensive 18-month investment scenarios with multi-layered impact assessment and strategic recommendations in Japanese.
Screens US stocks using William O'Neil's CANSLIM methodology, identifying growth stocks with strong earnings, momentum, and institutional backing.
Systematically validates trading strategies through rigorous robustness testing, stress testing, and bias prevention to ensure reliable performance across different market conditions.
Analyzes investment portfolios by fetching real-time holdings from Alpaca, providing asset allocation, risk metrics, and rebalancing recommendations.
Screens for high-quality dividend growth stocks experiencing temporary pullbacks by identifying stocks with 12%+ annual dividend growth and RSI β€40.
Tracks institutional investor ownership changes via 13F filings to reveal smart money portfolio flows and potential stock price movements.