| name | all-in-one-finance-skills |
| description | Use when user mentions ticker symbols, tokens, forex pairs, commodities, portfolio, trade, DCF, valuation, technical analysis, on-chain metrics, risk management, position sizing, financial reports, market sentiment, macro liquidity, earnings, crypto forensics, or any investment analysis query. Also triggers on "should I buy/sell", "analyze this stock", "what's the market doing", "build a hedge", "check my portfolio risk", or financial compliance questions. |
All-in-One Finance Agent Skill Suite
Overview
Institutional-grade modular finance intelligence system covering equities, crypto, forex, commodities, fixed income, and derivatives. Enforces evidence tiering, anti-bias checks, and pre-trade risk gates for every actionable output.
Core principle: Every recommendation requires T1/T2 evidence backing. No T3-only signals. No skipping risk gates. No bias unchecked.
When to Use
digraph finance_trigger {
"User mentions financial asset?" [shape=diamond];
"Equity query?" [shape=diamond];
"Crypto query?" [shape=diamond];
"Forex/Commodity?" [shape=diamond];
"Portfolio/Risk?" [shape=diamond];
"Load equity modules" [shape=box];
"Load crypto modules" [shape=box];
"Load macro/forex modules" [shape=box];
"Load risk-guardian" [shape=box];
"User mentions financial asset?" -> "Equity query?" [label="yes"];
"User mentions financial asset?" -> "Crypto query?" [label="yes"];
"User mentions financial asset?" -> "Forex/Commodity?" [label="yes"];
"User mentions financial asset?" -> "Portfolio/Risk?" [label="yes"];
"Equity query?" -> "Load equity modules" [label="yes"];
"Crypto query?" -> "Load crypto modules" [label="yes"];
"Forex/Commodity?" -> "Load macro/forex modules" [label="yes"];
"Portfolio/Risk?" -> "Load risk-guardian" [label="yes"];
}
Trigger keywords: $TICKER, BTC, ETH, EUR/USD, gold, oil, DCF, P/E, RSI, MACD, MVRV, NUPL, Fed, ECB, BoJ, carry trade, position size, Kelly, stop loss, drawdown, 10-K, earnings, whale, on-chain, sentiment, Fear & Greed, portfolio, hedge, correlation, beta, options, puts, calls, futures, contango, backwardation.
When NOT to use: Personal budgeting, non-market financial advice, tax preparation (use specialized tax skills).
Module Registry
| Module | Domain | Trigger Keywords | File |
|---|
fin-equity-fundamental | Equities | DCF, earnings, P/E, ROE, FCF, moat, 10-K, revenue quality | references/equity-fundamental.md |
fin-equity-technical | Equities | RSI, MACD, bollinger, support, resistance, breakout, candlestick | references/equity-technical.md |
fin-crypto-onchain | Crypto | MVRV, NUPL, SOPR, LTH, STH, exchange flow, whale, HODL | references/crypto-onchain.md |
fin-crypto-forensic | Crypto | hack, trace, taint, OSINT, wallet, Chainalysis, sanctions | references/crypto-forensic.md |
fin-macro-liquidity | Macro | Fed, SOFR, MOVE, yield curve, QT, QE, yen carry, Dollar Smile | references/macro-liquidity.md |
fin-sentiment-engine | Cross-Asset | Fear & Greed, NAAIM, AAII, funding rate, social, alternatives | references/sentiment-engine.md |
fin-forex-matrix | Forex | EUR/USD, carry trade, central bank, DXY, interest rate diff | references/forex-matrix.md |
fin-commodity-cycle | Commodities | oil, gold, copper, contango, backwardation, inventory, EIA | references/commodity-cycle.md |
fin-fixed-income | Fixed Income | bonds, duration, convexity, credit spread, Z-spread, yield | references/fixed-income.md |
fin-options-derivatives | Derivatives | options, Greeks, implied vol, put/call, futures, swaps | references/options-derivatives.md |
fin-risk-guardian | Risk | position size, Kelly, VaR, CVaR, stop loss, drawdown, correlation | references/risk-guardian.md |
|
RED FLAGS — STOP and Verify Evidence
- Recommendation with only T3 (opinion) sources
- Skipping Pre-Trade Risk Gate for "quick trades"
- Conviction >0.8 without T1 evidence
- Ignoring 2+ red flags from Anti-Bias Checklist
- Position size exceeding portfolio risk limits
- Backtesting with <30 samples then claiming edge
- Using "spirit not letter" to bypass evidence tiers
- Correlation >0.7 with existing positions but no reduction
All of these mean: STOP. Re-run gates. Gather T1/T2 evidence.
Evidence Standards (Non-Negotiable)
| Tier | Type | Weight | Verification | Examples |
|---|
| T1 | Primary source | 1.0 | Direct URL + hash | SEC filings, on-chain data, earnings transcripts, smart contract code, central bank statements |
| T2 | Factual secondary | 0.7 | Cross-reference 2+ sources | Bloomberg, Reuters, exchange order books, certified audits, blockchain explorers |
| T3 | Opinion/social | 0.3 | Flag "speculative" | Analyst reports, Twitter/X, Discord, newsletters, YouTube |
Rules:
- No actionable recommendation (buy/sell/hedge) on T3-only evidence
- Conviction score >0.5 requires ≥50% T1/T2 weighted evidence
- Every T3 claim must be paired with T1/T2 disconfirming evidence search
- Always disclose evidence composition in output
Anti-Bias Checklist (Run Before Every Recommendation)
6 Cognitive Traps
10 Financial Red Flags (Scan Every Asset)
- Revenue recognition changes / channel stuffing
- Related-party transactions >5% revenue
- Auditor changes or qualified opinions
- Short interest spikes (>20% float in 30 days)
- Insider selling clusters (3+ insiders in 90 days)
- Covenant breaches or debt waivers
- Whistleblower reports or SEC investigations
- Off-balance-sheet SPVs or guarantees
- Related-party leases or management contracts
- Sudden CFO/audit committee turnover
Pre-Trade Risk Gate (5 Gates — All Must Pass)
Gate 1: Liquidity
→ Daily volume ≥ 10× position size?
→ Spread <0.5% (equities) / <0.1% (crypto large-cap)?
→ Market cap check: >$1B FULL | $100M–$1B REDUCED | <$100M SKIP
Gate 2: Correlation
→ 90d rolling correlation vs. portfolio <0.7?
→ Sector concentration <30% at full Kelly?
→ No >20% in single correlated cluster?
Gate 3: Sentiment Alignment
→ Fear & Greed >80 → no full-size longs (REDUCED)
→ Fear & Greed <15 → contrarian longs valid, shorts SKIP
→ Entry aligns with 20-day momentum?
Gate 4: Memory Recall (OWM Query)
→ "Similar macro + sentiment setups in past 2 years?"
→ 3+ negative outcomes → REDUCED
→ Behavioral drift detected → SKIP until review
Gate 5: Regulatory
→ Asset legal in user jurisdiction?
→ US: SEC/CFTC status, not unregistered security
→ EU: MiFID II appropriateness, ESMA limits
→ OFAC SDN list check (crypto wallet screening)
Output: FULL (proceed) | REDUCED (half size) | SKIP (block)
Query Classification (Step 1)
Before analysis, classify:
- Asset Class: Equity / Crypto / Forex / Commodity / Fixed Income / Multi-Asset
- Analysis Type: Fundamental / Technical / Sentiment / Forensic / Risk / Forecast
- Complexity: Simple (1 module) / Composite (2–4 modules) / Full Framework (5+ modules)
- User Profile: Retail (simplified) / Professional (full depth) / Quant (model-ready)
Then load only the relevant reference files identified.
Composition Workflows (Step 2)
Equity Deep Dive
fin-equity-fundamental → fin-equity-technical → fin-sentiment-engine → fin-risk-guardian
Crypto Cycle Positioning
fin-crypto-onchain + fin-macro-liquidity + fin-sentiment-engine → fin-risk-guardian
Crypto Bottom Signal
fin-crypto-onchain (NUPL <0) + fin-sentiment-engine (Fear <15) → conviction score
Forensic Alert Response
fin-crypto-forensic (drain/hack) → fin-news-aggregator → fin-risk-guardian (hedge)
Multi-Asset Hedge
fin-macro-liquidity + fin-forex-matrix + fin-commodity-cycle + fin-risk-guardian
Fixed Income Relative Value
fin-fixed-income + fin-macro-liquidity → credit spread analysis → fin-risk-guardian
Options Strategy
fin-options-derivatives + fin-equity-technical (timing) → fin-risk-guardian (Greeks check)
Structured Output (Step 3)
Every response follows this structure (adapt depth to complexity):
1. EXECUTIVE SUMMARY (3 bullets max)
→ Signal direction, conviction score, key catalyst
2. THESIS & VARIANT VIEW
→ Core bull/bear case
→ What could prove this wrong? (pre-mortem)
3. EVIDENCE MAP (tiered with URLs)
→ T1: [source] — [finding] — [URL]
→ T2: [source] — [finding] — [URL]
→ T3: [source] — [finding] — FLAG speculative
4. VALUATION / SCORE MATRIX
→ Quantified signals from each module
→ Fair value range (bear/base/bull)
5. RISK FACTORS
→ Bull / Base / Bear probabilities
→ Top 3 risks with mitigation
6. ACTION PLAN
→ Entry: $[price] or signal trigger
→ Exit: $[price] or thesis break
→ Stop: $[price] or [X%] drawdown
→ Size: [X%] portfolio (gate result)
→ Horizon: [days/weeks/months]
7. LOGIC CHAIN (for macro/event-driven)
→ Causal transmission diagram
→ Feedback loops and second-order effects
Quick query format (e.g., "what's BTC sentiment?"): Bullets 1 + 4 + 6 only.
Composure Under Pressure (Rationalization Defense)
Violating the letter of the rules is violating the spirit of the rules.
| Excuse | Reality |
|---|
| "Quick trade, skip gates" | Gates protect from liquid losses. No exceptions. |
| "T3 source is reliable analyst" | T3 weight is 0.3 regardless of reputation. Get T1/T2. |
| "I already know this asset" | Memory != evidence. Run current gates. |
| "Market is moving fast" | Fast markets = more need for gates, not less. |
| "Small position, low risk" | Small positions compound. Gates apply regardless. |
| "Spirit not letter" | Spirit violations ARE letter violations. Both forbidden. |
Compliance & Disclaimers
⚠️ All analyses are for educational and research purposes only. This is NOT financial advice.
Past performance does not guarantee future results. Consult a licensed financial advisor
before making investment decisions. Assets may be restricted in your jurisdiction.
Options, futures, and crypto carry substantial risk of loss.
Append this disclaimer to ANY output containing:
- Specific buy/sell/hedge recommendations
- Position sizing suggestions
- Portfolio allocation advice
- Options/futures strategies
Reference File Loading Strategy
DO NOT load all files at once. Load on-demand:
- Equity analysis:
equity-fundamental.md + equity-technical.md
- Crypto analysis:
crypto-onchain.md + crypto-forensic.md
- Macro research:
macro-liquidity.md + forex-matrix.md + commodity-cycle.md
- Risk assessment:
risk-guardian.md + fixed-income.md
- Derivatives:
options-derivatives.md + algo-execution.md
- Reporting:
report-orchestrator.md + predictor-kronos.md
- Data/News:
news-aggregator.md + sentiment-engine.md
- Audit/Review:
memory-protocol.md
Quick Reference: Asset Class Decision Tree
digraph asset_class {
"Ticker with $?" [shape=diamond];
"Crypto keywords?" [shape=diamond];
"Forex pair format?" [shape=diamond];
"Commodity name?" [shape=diamond];
"Bond/fixed income?" [shape=diamond];
"Equity" [shape=box];
"Crypto" [shape=box];
"Forex" [shape=box];
"Commodity" [shape=box];
"Fixed Income" [shape=box];
"Multi-Asset" [shape=box];
"Ticker with $?" -> "Crypto keywords?" [label="no"];
"Ticker with $?" -> "Equity" [label="yes"];
"Crypto keywords?" -> "Forex pair format?" [label="no"];
"Crypto keywords?" -> "Crypto" [label="yes"];
"Forex pair format?" -> "Commodity name?" [label="no"];
"Forex pair format?" -> "Forex" [label="yes"];
"Commodity name?" -> "Bond/fixed income?" [label="no"];
"Commodity name?" -> "Commodity" [shape=box] [label="yes"];
"Bond/fixed income?" -> "Multi-Asset" [label="no"];
"Bond/fixed income?" -> "Fixed Income" [label="yes"];
}