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pair-analyze

Parametric combination command that runs a full multi-skill trading analysis for any symbol. Composes regime classification, structure (ICT/SMC), liquidity, entry refinement, risk sizing, and an execution plan. USE FOR - analyze pair, analyze symbol, pair analysis, full setup, combination analysis, trade plan, what should I trade, run full analysis.

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Quellinformationen

Repository
mahmoud20138/Tradecraft
Letzte Quellaktivität
23. April 2026 um 08:40
Erkannte Sprache von SKILL.md
Englisch
Sterne
15
Forks
4

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Lesen Sie SKILL.md und alle von SkillsMP angezeigten Begleitdateien, bevor Sie sich für eine Installation entscheiden.

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SKILL.md
Quellanweisungen · Schreibgeschützte Vorschau
name
pair-analyze
description
Parametric combination command that runs a full multi-skill trading analysis for any symbol. Composes regime classification, structure (ICT/SMC), liquidity, entry refinement, risk sizing, and an execution plan. USE FOR - analyze pair, analyze symbol, pair analysis, full setup, combination analysis, trade plan, what should I trade, run full analysis.
user-invocable
true
kind
workflow
category
trading/orchestration
status
active
tags
["trading","orchestration","combination","workflow","multi-skill"]
related_skills
["fetch-quotes","master-trading-workflow","xtrading-analyze","market-regime-classifier","trading-fundamentals","ict-smart-money","smc-beginner-pro-guide","liquidity-analysis","zone-refinement-sniper-entry","risk-and-portfolio","risk-calendar-trade-filter","strategy-selection"]
skill_level
intermediate
# Pair Analyze — Combination Command Runs a fixed, ordered pipeline of specialist skills against one symbol and returns a single consolidated trade plan. Use this when you want "one command" to cover the full path from regime classification to an actionable entry with stops and targets. ## Invocation ```text /tradecraft:pair-analyze <SYMBOL> [TIMEFRAME] [MODE] # Examples /tradecraft:pair-analyze XAUUSD H1 /tradecraft:pair-analyze US30 H4 conservative /tradecraft:pair-analyze EURUSD M15 scalp /tradecraft:pair-analyze BTCUSD D1 swing ``` - `<SYMBOL>` — any broker-recognized symbol (XAUUSD, US30, EURUSD, BTCUSD, ...) - `[TIMEFRAME]` — M5, M15, H1, H4, D1 (defaults to H1) - `[MODE]` — one of: `conservative`, `standard` (default), `aggressive`, `scalp`, `swing` Arguments are exposed to the skill via `$ARGUMENTS`. ## Pipeline (do not skip upstream steps) | # | Step | Skill invoked | Output expected | |---|---|---|---| | 0 | Data feed | `fetch-quotes` | OHLCV bars + latest quote (yfinance free by default, MT5 if available) | | 1 | Regime classification | `market-regime-classifier` | Trend/range/volatility label; session state | | 2 | Fundamentals filter | `risk-calendar-trade-filter` + `trading-fundamentals` | High-impact news gate; macro context | | 3 | Structure | `ict-smart-money` | BOS/CHoCH, order blocks, fair value gaps | | 4 | Liquidity map | `liquidity-analysis` | Pools, sweeps, equal highs/lows, inducement | | 5 | Entry refinement | `zone-refinement-sniper-entry` | Precise entry zone inside the POI | | 6 | Risk & sizing | `risk-and-portfolio` | Position size, SL, TP, R:R, max-daily-loss check | | 7 | Synthesis | (this skill) | Single consolidated JSON trade plan | Every step gates the next. If regime fails (e.g., dead range on an M15 scalp mode), stop and report. ## Mode Calibration | Mode | Per-trade risk | Min R:R | Setup grade | Timeframes | |---|---:|---:|---|---| | conservative | 0.5% | 3.0 | A only | H4, D1 | | standard | 1.0% | 2.0 | A, B | H1, H4 | | aggressive | 2.0% | 1.5 | A, B, C | M15, H1 | | scalp | 0.5% | 1.5 | A only | M5, M15 | | swing | 1.0% | 3.0 | A, B | H4, D1 | > Symbol-specific wrappers (e.g., `analyze-gold`, `analyze-us30`) may **lower** the per-trade risk for a mode to reflect that symbol's volatility profile. They must never raise it above this parent table. ## Output Contract Return exactly one JSON block followed by a short human summary: ```json { "symbol": "XAUUSD", "timeframe": "H1", "mode": "standard", "regime": "trend-up | trend-down | range | high-vol", "bias": "long | short | flat", "setup_grade": "A | B | C", "confluence": ["ICT order block", "liquidity sweep", "H4 trend"], "entry": 2345.80, "stop_loss": 2340.50, "take_profit_1": 2356.40, "take_profit_2": 2367.00, "risk_reward": 2.2, "position_size": {"lots": 0.35, "risk_pct": 1.0}, "invalidation": "Close below 2338.00 on H1", "news_gate": {"clear_until": "14:30 UTC", "next_event": "US CPI 14:30 UTC"}, "confidence": 0.72, "notes": "Short summary of why this setup passed every gate" } ``` Reject and explain (do NOT emit a trade plan) if: - News gate blocks trading in the next 2 hours - Regime is incompatible with mode (e.g., range + scalp = skip) - Position sizing would breach daily loss limit - Structure and liquidity disagree on direction ## Anti-Patterns - Running on a symbol the broker does not provide - Skipping regime because "the setup looks nice" - Forcing an entry outside the refined zone because the market moved - Using `aggressive` mode on illiquid sessions (Asian session for US indices, US close for gold majors) - Stacking multiple open positions without portfolio heat check (see `risk-and-portfolio`) ## Worked Walkthrough: Gold (XAUUSD) H1, standard mode 1. **Regime** — H4 trend up, H1 pullback, London session, ATR(14) = 8.5 points. Trend-up. 2. **News gate** — no red-folder events next 3 hours. Clear. 3. **Structure** — H1 bullish order block at 2340-2343, prior BOS at 2348. 4. **Liquidity** — equal lows at 2341 swept 2 hours ago; next pool above at 2365. 5. **Entry refinement** — 50% of OB refined to 2341.50 entry. 6. **Risk** — 1% of $10k = $100. SL at 2338.00 (3.5 pts). Lot size = 0.28. 7. **Synthesis** — long 2341.50, SL 2338.00, TP1 2348.50 (2R), TP2 2355.00 (3.8R), grade B, confidence 0.68. ## Worked Walkthrough: US30 H4, conservative mode 1. **Regime** — D1 uptrend, H4 consolidation. Range-in-trend. 2. **News gate** — FOMC minutes in 18 hours. Still clear for an H4 setup. 3. **Structure** — H4 CHoCH rejected; bearish order block at 42150-42220. 4. **Liquidity** — equal highs at 42200 untouched (target for sweep, not entry). 5. **Entry refinement** — short at 42180 after liquidity sweep of 42200. 6. **Risk** — 0.5% of $10k = $50. SL above equal highs at 42250 (70 pts). Assuming the common US30 CFD spec of $1 per index-point per 1.0 lot, lots = $50 / (70 × $1) = **0.71** (round DOWN to 0.71 to stay under the risk cap). For a $10-per-point broker spec, the same risk gives 0.07 lots — always check your symbol specification. 7. **Synthesis** — short 42180, SL 42250, TP1 41960 (3.1R), grade A, confidence 0.74. ## Lot-Size Formula (universal) ```text lots = risk_usd / (sl_points × usd_per_point_per_lot) ``` - Gold (XAUUSD): `usd_per_point_per_lot = $100` where 1 point = $1.00 move × 100 oz contract - US30: `usd_per_point_per_lot = $1` (most retail CFD) or `$10` (some MT5 cash-CFD specs) — **always verify from the broker's symbol info before sizing** - Round DOWN to the broker's lot step (typically 0.01) so actual risk stays ≤ the cap ## Validation Test Cases Use these to self-check the pipeline output before shipping a plan: - Symbol is normalized (no broker suffix like `XAUUSDm`, `US30.cash`) — if suffix is present, strip it and proceed. - Every numeric price field has at most 5 significant digits for gold, 1 decimal for indices, 5 for FX majors. - `risk_reward >= min_RR` from the Mode Calibration table. - `invalidation` cites a price level and condition, never "if price falls." - `position_size.lots` respects the broker's min lot (usually 0.01) and step. ## See Also - `analyze-gold` — pre-configured wrapper for XAUUSD - `analyze-us30` — pre-configured wrapper for US30 - `master-trading-workflow` — full 18-phase workflow (this skill is its condensed form)
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