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webleon
GitHub creator profile

webleon

Repository-level view of 7 collected skills across 1 GitHub repositories, including approximate occupation coverage.

skills collected
7
repositories
1
occupation fields
1
updated
2026-03-24
occupation focus
Major fields detected across this creator.
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Top repositories by collected skill count, with their share of this creator catalog and occupation spread.

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Repositories and representative skills

#001
tech-earnings-deepdive-openclaw-skill
7 skills242updated 2026-03-24
100% of creator
tech-earnings-deepdive
Finanz- und Investitionsanalysten

科技股财报深度分析与多视角投资备忘录系统(v3.0)。覆盖A-P共16大分析模块、6大投资哲学视角、机构级证据标准、反偏见框架和可执行决策体系。当用户提到某科技公司财报分析、季报/年报解读、earnings call、收入增长分析、利润率变化、guidance指引、估值模型、DCF、反向DCF、EV/EBITDA、PEG、Rule of 40、管理层分析、竞争格局、持仓判断、是否买入/卖出/加仓某科技股、某公司最新财报怎么看、帮我做个deep dive、多角度估值、投资大师怎么看这家公司、variant view、key forces、kill conditions、筹码分布、高管团队、合作伙伴生态、宏观政策影响等话题时,务必使用此技能。即使用户只是笼统地问"帮我看看NVDA最新财报"或"META这季度表现如何"或"该不该继续持有MSFT",也应触发此技能来提供全面的财报分析和多视角投资备忘录。此技能与us-value-investing技能互补——us-value-investing侧重长期价值四维评分,本技能侧重最新财报的深度拆解、多投资哲学的综合判断、以及可执行的持仓决策。

2026-03-24
btc-bottom-model
Finanzrisikospezialisten

Bitcoin bottom-timing judgment model. By tracking 6 core indicators (RSI technical oversold, volume dry-up, MVRV ratio, social media fear index, miner shutdown price, long-term holder behavior), it comprehensively evaluates whether Bitcoin has entered a bottom-fishing zone and outputs a bottom-fishing rating and position-building recommendations. When users mention topics such as Bitcoin bottom-fishing, whether BTC has bottomed out, Bitcoin oversold, MVRV, miner shutdown price, long-term holder LTH, Bitcoin fear index, whether to buy Bitcoin, BTC position entry timing, crypto market bottom signals, Bitcoin cycle bottom, etc., be sure to use this skill. Even if the user simply asks "Can I buy the dip on Bitcoin now?" or "Has BTC finished dropping?", this skill should be triggered to provide a structured analysis framework.

2026-03-24
macro-liquidity
Finanzrisikospezialisten

Macro liquidity monitoring and risk early-warning system. By tracking 4 core indicators (Fed Net Liquidity, SOFR Overnight Financing Rate, MOVE Treasury Volatility Index, Yen Carry Trade Signals), it provides real-time assessment of liquidity conditions in the global financial system, outputting liquidity ratings and risk response recommendations. When users mention topics such as liquidity, Fed balance sheet reduction (QT), TGA account, reverse repo ON RRP, SOFR rate, MOVE index, Treasury volatility, yen carry trade, USDJPY and interest rate differentials, impact of QT on markets, whether money is tight, liquidity inflection points, tightening financial conditions, etc., this skill should be used. Even if users ask broadly "how is liquidity right now" or "is the Fed draining or injecting liquidity," this skill should be triggered to provide a structured analytical framework.

2026-03-24
us-market-sentiment
Finanz- und Investitionsanalysten

US stock market sentiment monitoring and position recommendation system. Evaluates market sentiment by tracking 5 core indicators (NAAIM Exposure Index, Institutional Equity Allocation, Retail Net Buying, S&P 500 Forward P/E Ratio, Hedge Fund Leverage) and outputs sentiment ratings and position recommendations. This skill should be used when the user mentions topics such as US stock sentiment, market overheating, greed/fear indicators, NAAIM, institutional positioning, retail sentiment, P/E valuation bubbles, hedge fund leverage, whether to reduce positions, market risk assessment, position management advice, market top/bottom signals, etc. Even if the user simply asks "Is the US stock market risky right now?" or "Should I reduce my positions?", this skill should be triggered to provide a structured analytical framework.

2026-03-24
us-value-investing
Finanz- und Investitionsanalysten

US stock value investing analysis framework. Systematically evaluates listed companies through 4 core dimensions (ROE sustainability, debt safety, free cash flow quality, economic moat assessment), outputting investment ratings and analytical reasoning. This skill should be used when users mention topics such as whether a US stock is worth holding long-term, fundamental analysis of a company, ROE analysis, debt ratio assessment, free cash flow, economic moat, Buffett-style stock picking, value investing screening, how to read a company's financial reports, whether a stock's valuation is reasonable, etc. Even if users simply ask something general like "What do you think of stock XX?" or "Help me analyze XX's fundamentals," this skill should be triggered to provide a structured value investing analysis framework.

2026-03-24
tech-earnings-deepdive
Finanz- und Investitionsanalysten

科技股财报深度分析与多视角投资备忘录系统(v3.0)。覆盖A-P共16大分析模块、6大投资哲学视角、机构级证据标准、反偏见框架和可执行决策体系。当用户提到某科技公司财报分析、季报/年报解读、earnings call、收入增长分析、利润率变化、guidance指引、估值模型、DCF、反向DCF、EV/EBITDA、PEG、Rule of 40、管理层分析、竞争格局、持仓判断、是否买入/卖出/加仓某科技股、某公司最新财报怎么看、帮我做个deep dive、多角度估值、投资大师怎么看这家公司、variant view、key forces、kill conditions、筹码分布、高管团队、合作伙伴生态、宏观政策影响等话题时,务必使用此技能。即使用户只是笼统地问"帮我看看NVDA最新财报"或"META这季度表现如何"或"该不该继续持有MSFT",也应触发此技能来提供全面的财报分析和多视角投资备忘录。此技能与us-value-investing技能互补——us-value-investing侧重长期价值四维评分,本技能侧重最新财报的深度拆解、多投资哲学的综合判断、以及可执行的持仓决策。

2026-03-24
tech-earnings-deepdive
Finanz- und Investitionsanalysten

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

2026-03-24
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