
Trading Automation
quant-analysis
Quantitative Analysis Skill provides an end-to-end toolkit for quantitative finance research and production analysis. It automates data ingestion, interactive analysis in Jupyter (jupyter_execute, jupyter_notebook, update_notebook), and research reporting (update_latex, latex_compile, update_notes).
Resumen
Quantitative Analysis Skill provides an end-to-end toolkit for quantitative finance research and production analysis.
Quantitative Analysis Skill provides an end-to-end toolkit for quantitative finance research and production analysis. It automates data ingestion, interactive analysis in Jupyter (jupyter_execute, jupyter_notebook, update_notebook), and research reporting (update_latex, latex_compile, update_notes). Core features include time-series and cross-sectional econometrics (Fama–MacBeth, panel models), event studies, volatility modeling (GARCH), Monte Carlo simulation, copula dependency modeling, and portfolio construction (Markowitz, Black–Litterman, risk parity, factor portfolios). Typical uses are asset/portfolio performance analysis, risk measurement (VaR/CVaR, stress tests), model building and validation, and generating reproducible notebooks and LaTeX-ready papers with charts and diagnostics. The skill is ideal when you need rigorous, repeatable financial analysis, parameter estimation, backtesting, or polished research output combining code, visualizations, and written findings.
Skill.md
Cómo funciona esta Skill
Quantitative Analysis Skill provides an end-to-end toolkit for quantitative finance research and production analysis. It automates data ingestion, interactive analysis in Jupyter (jupyter_execute, jupyter_notebook, update_notebook), and research reporting (update_latex, latex_compile, update_notes).
Quantitative Analysis Skill
Description
Perform quantitative finance research including data analysis, portfolio optimization, risk modeling, and econometric analysis.
Tools Used
jupyter_execute- Execute Python code for financial analysis (auto-switches to Jupyter)jupyter_notebook- Manage analysis notebooksupdate_notebook- Set up analysis cells in Jupyterupdate_latex- Write finance paper content to LaTeX editorlatex_compile- Compile research papers (auto-switches to LaTeX editor)update_notes- Write analysis summaries and findings
Capabilities
Data Analysis
- Time series analysis of financial returns
- Cross-sectional regression (Fama-MacBeth, panel data)
- Event studies and abnormal return analysis
- Volatility modeling (GARCH family)
Portfolio Optimization
- Mean-variance optimization (Markowitz)
- Black-Litterman model with views
- Risk parity and equal risk contribution
- Factor-based portfolio construction
Risk Analysis
- Value-at-Risk (VaR) and Conditional VaR
- Stress testing and scenario analysis
- Copula-based dependency modeling
- Monte Carlo simulation
Usage Patterns
Analyze Returns
When user says: "Analyze the performance of [asset/portfolio]"
- Load price data using pandas/yfinance
- Calculate returns, volatility, Sharpe ratio
- Plot cumulative returns and drawdowns
- Run statistical tests (normality, autocorrelation)
- Present findings with charts
Build a Model
When user says: "Build a [pricing/risk/factor] model"
- Clarify model specification and data requirements
- Load and clean data
- Estimate model parameters
- Validate with out-of-sample testing
- Report results with diagnostics
Tool Examples
Load and analyze stock returns
# via jupyter_execute
import yfinance as yf
import pandas as pd
import numpy as np
data = yf.download("AAPL", start="2023-01-01", end="2024-01-01")
returns = data["Close"].pct_change().dropna()
print(f"Mean: {returns.mean():.4f}, Vol: {returns.std():.4f}, Sharpe: {returns.mean()/returns.std()*np.sqrt(252):.2f}")
Validation checkpoints
- Verify data has no missing values or extreme outliers before modeling
- Check model residuals for autocorrelation after estimation
- Confirm out-of-sample period has no look-ahead bias
Ideal para
Cuándo usarla
Quantitative Analysis Skill provides an end-to-end toolkit for quantitative finance research and production analysis. It automates data ingestion, interactive analysis in Jupyter (jupyter_execute, jupyter_notebook, update_notebook), and research reporting (update_latex, latex_compile, update_notes).

01 · ANTES DE LA REUNIÓN
Prepara un informe de decisión
Convierte evidencia dispersa en un caso estructurado antes del comité de inversión.

02 · FLUJO DE EQUIPO
Estandariza los traspasos
Genera resultados de research consistentes entre analistas, gestores de cartera y agents.

03 · ACTUALIZACIÓN EN VIVO
Refresca la tesis
Actualiza los escenarios tras un nuevo catalizador, la publicación de un KPI o un resultado trimestral.
Notas de la comunidad
Mejora a medida que se usa.
Los comentarios aparecerán aquí a medida que esta Skill se use y se revise.
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