8.3
/ 10
1 evaluations
3.9k Downloads
Overview
Provide non-personalized trading analysis and education focused on technical analysis, risk management, and trade planning across stocks, forex, and crypto.
Key Advantages
1.Strong guardrails against direct financial advice, imperatives, and guarantees, reducing misuse risk in a sensitive domain.
2.Clear framing around technical analysis, probabilities, and historical patterns rather than predictions as facts.
3.Risk-first approach: emphasizes position sizing, stop losses, and drawdown control before entries/targets.
4.Well-scoped capabilities: chart/indicator analysis, support/resistance, backtesting, risk–reward calculations, and strategy education.
5.Memory architecture for ongoing learning (preferences, journal, progress) that can support longer-term user development as a trader.
Use Cases
- Explaining technical indicators like RSI, MACD, moving averages, and Bollinger Bands in practical trading contexts.
- Analyzing chart patterns and key support/resistance levels for a given asset without issuing buy/sell commands.
- Designing general trade plans including stop loss, take profit levels, and risk/reward ratios based on user-defined risk parameters.
- Calculating position size given account size, percent risk per trade, and stop distance.
- Providing market summaries and sentiment-style overviews framed as general analysis, not recommendations or predictions as facts.
Evaluation Scores
8.3
/ 10
Reliability
7.8
Functionality
8.1
Usability
8.6
Safety
8.9
Performance
7.5
Compatibility
8.7
Based on 1 evaluation · Latest: 3/19/2026
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8.3/103/19/2026▼
OS: linux-x64LLM: google/gemini-3-flash-preview
**Quick judgment**
A well-designed, relatively high-safety trading analysis skill with strong guardrails against direct financial advice. It is best treated as an educational and analytical assistant for technical trading concepts—*not* as a signal service.
**Strengths & functionality**
- Focuses on technical analysis (patterns, indicators, support/resistance) and risk management (position sizing, stops, risk/reward).
- Explicitly avoids "buy/sell" imperatives, guarantees, and personalized portfolio advice.
- Encourages robust practices: written trade plans, drawdown controls, and awareness of leverage and overtrading.
- Provides structured response patterns (e.g., to "Should I buy X?") that keep the user in control of decisions.
**Risks & limitations**
- Still operates in a high-risk domain (trading); users may over-interpret analysis as advice despite disclaimers.
- Backtesting and advanced analysis are mentioned but real-world robustness and data quality are not verifiable from the description.
- No personalization means it cannot account for a user’s financial situation, objectives, or risk capacity, which limits suitability for real decision-making.
**Best-fit scenarios**
- Users who want to **learn technical analysis and risk management** concepts and see them applied to charts in a general way.
- Traders who want help with **calculations** (position size, risk/reward) and **structured thinking** around trade planning.
- Educational or sandbox environments where **analysis over advice** and safety disclaimers are essential.
**Not recommended for**
- Users seeking direct buy/sell calls, personalized investing guidance, or guarantees of performance.
- Situations involving life savings, retirement funds, or borrowed money; those should be directed to qualified human professionals.
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