Total Skills
10
Skills published by realanthonyc with real stars/downloads and source-aware metadata.
Total Skills
10
Total Stars
10
Total Downloads
0
Comparison chart based on real stars and downloads signals from source data.
btc-eth-news-digest
1
company-valuation-analyst
1
comprehensive-equity-research-analysis
1
cross-asset-weekly-outlook
1
daily-trading-insights
1
global-macro-intelligence
1
qqq-daily-outlook
1
screening-compounders
1
Create detailed, trader-optimized, source-cited digests of the latest Bitcoin (BTC) and Ethereum (ETH) news, including market-moving developments, regulatory updates, protocol/ecosystem changes, ETF/flow items, and short-term macro catalysts. Include explicit analysis of how near-term macro events may affect BTC/ETH prices and provide a bilingual output (English first, then Traditional Chinese). Use when a user asks for a BTC/ETH news roundup, trading briefing, market-moving headline summary, daily/weekly crypto desk note, or latest developments with links, timing, trade relevance, and macro impact.
Build a scenario-based intrinsic-value memo for any single public company across any industry or sector. Use when the user asks whether a stock is overvalued or undervalued, whether a rally is justified, whether trimming or holding is rational, what assumptions are already priced in, or how growth, margins, capital intensity, balance sheet risk, dilution, catalysts, and timing affect fair value. Best for company-specific valuation work where the goal is to translate business economics into a practical market judgment.
以機構級標準進行公司投資研究,整合事實查核、最新動向追蹤、財務推導、相對估值與DCF三情境、量化評分卡、風險/催化分析與交易-配置策略,輸出繁體中文且附來源連結與訊息確定性標註的完整研究報告。Use when the user asks for company valuation, stock research, investment attractiveness judgment, latest company/sector developments with reliability assessment, buy/hold/sell (or buy/hold/avoid) recommendations, peer comparison, catalyst/risk mapping, swing-to-mid-term strategy, or institution-style equity reports with source-backed conclusions.
Produce a deeply reasoned, source-backed cross-asset market outlook covering the broad market, selected focus stocks, Bitcoin, and gold, with the analysis horizon changing by weekday. Use when the user wants a Monday-to-Sunday market roadmap, a weekly trading game plan, a weekend Bitcoin setup, or an integrated equities-plus-BTC-plus-gold view grounded in current data and independent judgment.
Produce a daily, source-backed U.S. trading intelligence brief that turns current news, catalysts, narratives, mega-cap stock developments, smart-money or flow hints, upcoming events, market expectations, and cross-asset signals into ranked trading insights. Use when the user asks for daily trading insights, today's market hot topics, U.S. stock or ETF hot picks, market sentiment/direction/pattern analysis, a premarket or intraday trading briefing, mega-cap watch points, or a near-term catalyst map for the next few U.S. trading sessions.
Produce institutional-style macroeconomic intelligence reports that explain the current US-led global macro regime, recent catalysts, and cross-asset implications across equities, rates, FX, commodities, crypto, credit, liquidity, and positioning, and save them as Markdown deliverables. Use when the user asks for a macro outlook, global market strategy note, cross-asset regime analysis, Fed/liquidity/yields/dollar interpretation, risk-on versus risk-off assessment, or a professional macro research report based on the latest data and news.
Produce the latest QQQ daily outlook for the relevant U.S. trading session by fusing a user-provided real-time dashboard screenshot (QQQ, VIX, DXY, yields) with latest web-verified macro/news catalysts. Use when the user wants to know how QQQ is likely to behave today, whether the request comes hours or minutes before the open, shortly after the open, or after Friday's close for the next trading day's setup. Estimate directional bias, expected move, likely path, key levels, options implications, and execution risks for the active or next relevant session.
Screen a U.S. stock sector, theme, or industry for 5-10 long-term compounder candidates using a strict veto-first process. Use when the user wants a historically grounded shortlist built from recent multi-year filings and source-backed research, with one-strike eliminations for governance, leverage, acquisition addiction, fast-changing industries, or misaligned ownership; 10-year-or-longest-available ROCE analysis; financial robustness checks; convergent-evolution business-model validation; Darwin-style fact-only cross-checks; and a final ranked list with valuation context and reasons each company can remain great for a long time.
Discover, compare, and shortlist public companies within a sector, industry, theme, or candidate set. Use when the user wants to find the most attractive company in a space, identify which company is the most undervalued, most competitive, most resilient, or best positioned, or narrow a broad universe down to 1-3 names for deeper research by combining broad data gathering, recent topic and narrative research, financial statement reading, business-quality comparison, and valuation-aware filtering.
Discover and rank underappreciated upcoming sectors or cross-industry themes that have a strong chance of becoming the next major market focus before they are fully crowded, where real demand may accelerate within 6-24 months, become genuinely large in magnitude, and persist for 1-2 years or longer, using deep web research, source-backed study, adoption-stage analysis, value-chain mapping, capital-cycle checks, and mispricing judgment. Use when the user wants to find upcoming high-demand themes early, identify sectors to research before they become consensus, build an ambush watchlist for low-price accumulation, or understand which themes are likely to become durable investment opportunities rather than short-lived market hypes.