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Found 115 Skills
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 discounted cash flow (DCF) valuation models in Excel. Use when creating DCF models, calculating enterprise value, or valuing companies. Trigger with phrases like 'excel dcf', 'build dcf model', 'calculate enterprise value'.
Tech Stock Earnings Deep Dive Analysis and Multi-Perspective Investment Memo System (v3.0). Covers 16 major analysis modules (A-P), 6 investment philosophy perspectives, institutional-grade evidence standards, anti-bias framework, and actionable decision system. When users mention topics such as tech company earnings analysis, quarterly/annual report interpretation, earnings call, revenue growth analysis, margin changes, guidance, valuation models, DCF, reverse DCF, EV/EBITDA, PEG, Rule of 40, management analysis, competitive landscape, position sizing, whether to buy/sell/add to a tech stock position, how to interpret a company's latest earnings, doing a deep dive, multi-angle valuation, how investment masters view a company, variant view, key forces, kill conditions, ownership structure, executive team, partner ecosystem, macro policy impact, etc., this skill should be used. Even if the user simply asks "help me look at NVDA's latest earnings" or "how did META do this quarter" or "should I keep holding MSFT," this skill should be triggered to provide comprehensive earnings analysis and a multi-perspective investment memo. This skill complements the us-value-investing skill — us-value-investing focuses on long-term value four-dimensional scoring, while this skill focuses on in-depth dissection of the latest earnings, comprehensive judgment across multiple investment philosophies, and actionable position decisions.
Investment proposal generation via Longbridge Securities — produces a structured investment memo covering: executive summary, company overview, investment thesis (3–5 core points), financial analysis, valuation, catalysts and timeline, risk factors, and position recommendation. Triggers: "投资提案", "投资建议书", "投资报告", "投资摘要", "核心逻辑", "投资理由", "建仓建议", "投資提案", "投資建議書", "投資報告", "投資摘要", "核心邏輯", "建倉建議", "investment proposal", "investment memo", "investment summary", "investment rationale", "position recommendation", "investment case", "buy memo".
Sector-rotation snapshot across A-share, HK, and US markets — point-in-time multi-factor scoring of momentum, capital flow, and valuation to rank sectors by current cycle strength. For ongoing 6–12 month cycle positioning and allocation recommendations use longbridge-sector-monitor. Triggers: "行业轮动", "板块轮动", "行业动量排名", "强势板块", "弱势板块", "行业资金流", "板块涨幅榜", "行業輪動", "板塊輪動", "行業動量排名", "強勢板塊", "弱勢板塊", "行業資金流", "板塊漲幅榜", "sector rotation", "sector momentum ranking", "leading sector", "lagging sector", "sector capital flow", "sector strength ranking".
Analyze financial reports of listed companies (US, Japanese, Hong Kong, and A-share markets) and generate valuation analysis and investment reports
Financial analysis expertise for financial modeling (DCF, LBO, M&A), valuation, financial statement analysis, capital allocation, treasury management, and corporate finance decisions. Use when building financial models, analyzing statements, or making investment decisions.
Comprehensive market analyst skill that orchestrates all Octagon stock performance and market data skills. Use when conducting stock analysis, creating market reports, evaluating valuations, comparing sectors, or performing technical and sentiment analysis.
Industry valuation rank time series for a single stock via Longbridge — tracks how a stock's PE / PB / PS / dividend-yield rank within its sector has changed over time (rank N of total M). Answers "is my stock becoming relatively cheaper or more expensive vs peers?" Complements longbridge-valuation (single-stock percentile history) and longbridge-industry-valuation (current sector snapshot). Triggers: "行业排名变化", "估值排名", "PE排名历史", "行业估值位置", "排名走势", "估值相对同业", "行業排名變化", "估值排名", "PE排名歷史", "行業估值位置", "排名走勢", "valuation rank", "industry rank history", "PE rank trend", "relative valuation rank", "sector ranking over time", "how does AAPL rank in industry PE".
Compare leading tech stocks to distinguish hype-driven overvaluation from fundamentally justified pricing, and identify undervalued tech names the market is overlooking. Use when the user asks to evaluate tech stock valuations, find overvalued or undervalued tech companies, assess whether a tech stock's growth justifies its multiple, compare tech company fundamentals, analyze revenue growth vs. valuation, or identify mispriced technology stocks.
Build institutional-grade comparable company analyses with operating metrics, valuation multiples, and statistical benchmarking in Excel/spreadsheet format. **Perfect for:** - Public company valuation (M&A, investment analysis) - Benchmarking performance vs. industry peers - Pricing IPOs or funding rounds - Identifying valuation outliers (over/under-valued) - Supporting investment committee presentations - Creating sector overview reports **Not ideal for:** - Private companies without comparable public peers - Highly diversified conglomerates - Distressed/bankrupt companies - Pre-revenue startups - Companies with unique business models
Patterns for DeFi market analysis, screening, and comparison using DefiLlama MCP tools. Covers valuation ratios (P/S, P/F), growth screening with pct_change columns, multi-metric protocol comparison, category comparison, and cross-entity analysis. Use when users ask to compare protocols, screen for undervalued projects, analyze growth trends, or do sector analysis.