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بنقرة واحدة

investment-management

Investment management skill — portfolio construction, analysis, and execution. Compounds finance-substrate (accounting/tax) + wealth-management (projections/goals) into a full financial framework. Covers traditional investing (stocks, ETFs, bonds), alternatives (crypto, prediction markets, real estate, VC), quantitative analytics (factor models, Monte Carlo, optimization), and platform integration (Alpaca, Coinbase, Polymarket, agent-browser for Colombian platforms). Embodies philosophies from Buffett, Dalio, Bogle, Munger, and Marks. Use when: (1) building or analyzing a portfolio, (2) screening stocks/ETFs/crypto, (3) running backtests or factor analysis, (4) executing trades or rebalancing, (5) tracking investments across platforms, (6) researching market data or fundamentals, (7) making investment decisions with structured frameworks. Triggers on 'investment', 'portfolio', 'stocks', 'ETF', 'bonds', 'crypto', 'trading', 'backtest', 'factor model', 'rebalance', 'Polymarket', 'Alpaca', 'asset allocation'.

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