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jy-fund-consistency-analysis

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Aktualisiert21. Juli 2026 um 03:35

基于聚源金融数据库的基金经理观点与持仓一致性分析工具。分析基金经理在定期报告中表达的投资观点与其管理基金实际持仓的一致性程度,生成标准化分析报告。覆盖观点提取、持仓分析、多维度一致性评分(行业配置、投资风格、选股逻辑、风险控制)、报告生成等核心功能。所有数据来自 MCP API,确保真实可溯源。使用场景:当用户需要分析某基金经理的言行一致性、评估基金经理可信度、查看基金经理观点与持仓匹配度、生成一致性检验报告时触发。英文:Fund Manager Consistency Analysis Tool based on GILData Financial Database. Analyzes the consistency between fund managers' investment views expressed in periodic reports and the actual holdings of funds they manage, generating standardized analysis reports. Covers core functions including viewpoint extraction, holdings analysis, multi-dimensional consistency scoring (industry allocation, investment style, stock selection logic, risk control), and report generation. All data comes from MCP API, ensuring authenticity and traceability. Use case: Triggered when users need to analyze a fund manager's speech-action consistency, evaluate fund manager credibility, check the match between fund manager views and holdings, or generate consistency inspection reports.

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