Business skills

Browse reusable Agent Skills, each with a clear purpose and practical guidance.

alphagbm-duan-analysis

Duan-Yongping-style seller playbook for any ticker: Sell Put at your "willing buy" price, Covered Call for yield enhancement, and a Panic-Buy context read off current VIX. The response is three tightly-scoped analysis cards — not a generic options screener — derived from the specific framework that made Duan Yongping famous in Chinese retail investing (seller-only, rent-collection logic, never a buyer of options). Triggers: "Duan Yongping style AAPL", "sell put NVDA willing to buy at 120", "covered call yield TSLA", "should I sell AAPL put here", "seller strategy MSFT", "Duan-style analysis", "premium collection setup", "nationalist seller playbook"

1.38k repo starsObserved in 1 repos
Business

alphagbm-earnings-crush

Full earnings-season IV analysis: historical crush, implied move forecast, IV Rank strategy tag, and a priced Iron Condor quote ready to trade. Triggers: "earnings crush AAPL", "NVDA IV before earnings", "implied move MSFT", "iron condor for META", "IV rank AAPL earnings", "earnings play TSLA", "should I short premium before AMZN earnings", "post-earnings IV drop", "straddle before earnings", "pre-earnings strategy"

1.38k repo starsObserved in 1 repos
Business

alphagbm-fear-score

Per-ticker panic index (0-100) that weights six real signals: VIX, IV Rank, RSI-14, options volume anomaly, Put/Call ratio, and consecutive-down days. Scores ≥ 60 trigger a Bull Put Spread entry signal. Based on the FearDesk methodology; tested at ~10.8% annualized ROC for BPS entries on signal vs ~3.5% unconditional. Triggers: "fear score QQQ", "is NVDA oversold", "panic index SPY", "BPS signal TSLA", "is it fear time", "BPS entry timing", "when to sell put", "is AAPL panic", "contrarian entry signal", "oversold reading", "VIX plus RSI"

1.38k repo starsObserved in 1 repos
Business

alphagbm-greeks

Greeks dashboard for any option contract or multi-leg position. Covers first-order Greeks (Delta, Gamma, Theta, Vega, Rho) and second-order Greeks (Charm, Vanna, Volga). Returns individual and position-level Greeks with scenario heatmaps. Use when: checking option sensitivities, managing position risk, understanding theta decay, analyzing gamma exposure, hedging a portfolio. Triggers on: "Greeks for AAPL 220 call", "position Greeks", "theta decay analysis", "gamma exposure NVDA", "delta of my position", "vega risk SPY straddle".

1.38k repo starsObserved in 1 repos
Business

alphagbm-hedge-advisor

Scenario-driven hedge recommendations for an existing stock position. Takes ticker + cost basis + purpose, auto-classifies the holding situation (falling knife / bottom-fishing / gain-protection / normal) and returns concrete Long Put, Collar, or Tier-down recommendations with live strikes and premiums from the current option chain. Triggers: "hedge my AAPL", "protect my NVDA gains", "collar strategy MSFT", "long put for TSLA", "how to hedge falling knife COIN", "reduce risk BABA", "lock in gains META", "downside protection", "portfolio hedge", "insurance for position"

1.38k repo starsObserved in 1 repos
Business

alphagbm-investment-thesis

Record and track the "why I bought" and "when I sell" for each position. Each thesis is attached to a company profile: buy reasons in prose, sell conditions as structured triggers (price drop, PE spike, thesis breach). The system monitors conditions automatically and flips the thesis to "triggered" when one fires. Use when: writing buy logic, setting exit triggers, reviewing active theses, seeing which triggered. Triggers on: "write a thesis for NVDA", "why did I buy AAPL", "set a stop loss logic on TSLA", "which theses are triggered", "update my thesis", "投资论据", "卖出条件", "买入理由", "论据被打破".

1.38k repo starsObserved in 1 repos
Business

alphagbm-iv-rank

IV Rank and IV Percentile analysis showing where current implied volatility stands relative to its 252-day history. Returns IV rank (0-100), IV percentile (0-100), IV history data, and trading signals based on IV zone. Use when: deciding whether to buy or sell premium, checking if IV is high or low, timing volatility trades, screening for IV extremes. Triggers on: "IV rank AAPL", "is NVDA IV high", "IV percentile SPY", "historical IV TSLA", "is volatility cheap for META", "IV rank scan", "should I sell premium".

1.38k repo starsObserved in 1 repos
Business

alphagbm-macro-view

Track the macro variables that actually move your portfolio — VIX, US10Y, DXY, gold, oil, etc. — with auto-computed impact on user's holdings. Each tracked indicator returns current value, change, and AI-generated impact analysis linked to the user's profiles. Use when: adding a macro indicator, pulling current macro dashboard, asking how VIX affects the portfolio. Triggers on: "track VIX", "current 10-year yield", "how's the dollar doing", "add gold to my macro watch", "remove US10Y", "宏观指标", "美债利率", "美元指数", "VIX恐慌指数".

1.38k repo starsObserved in 1 repos
Business

alphagbm-market-sentiment

Market-wide sentiment dashboard with VIX, Put/Call ratio, Fear & Greed Index, market breadth, and sector rotation analysis. Classifies current regime as risk-on, risk-off, or neutral. Triggers: "market sentiment", "is the market fearful", "VIX analysis", "put call ratio", "market breadth", "fear and greed", "risk on or risk off", "advance decline", "new highs new lows", "sector rotation", "market regime"

1.38k repo starsObserved in 1 repos
Business

alphagbm-options-score

Score and rank options contracts for any ticker using AlphaGBM's multi-factor scoring model (liquidity, IV attractiveness, Greeks balance, risk/reward). Returns scored option chains with the best contracts highlighted. Use when: evaluating which option to trade, finding the best strike/expiry, ranking options by quality. Triggers on: "score AAPL options", "best options for NVDA", "which TSLA call should I buy", "option chain for SPY", "rank META puts".

1.38k repo starsObserved in 1 repos
Business