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global-macro

Global macro analysis framework (central bank policy transmission / FX forecasting / geopolitical risk / capital flows), used to build macro factor signals that drive cross-asset allocation.

62

Quality

78%

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tessl review fix ./a_全网优秀资源/10_大模型/07_skill包/vibe_trading_skills/global-macro/SKILL.md

The canonical home for this skill is global-macro in HKUDS/Vibe-Trading

SKILL.md
Quality
Evals
Security

Quality

Content

82%Weight 40%Scale 1-5

Reviews the quality of instructions and guidance provided to agents. Good implementation is clear, handles edge cases, and produces reliable results.

A strong, highly actionable analysis skill body: exact numeric thresholds, concrete signal rules, a clear four-step workflow, and a copy-paste output template. The main improvement opportunities are trimming textbook concept explanations Claude already knows and moving historical empirical tables to a reference file.

DimensionReasoningScore

Conciseness

The body is dense with domain-specific thresholds and decision rules Claude would not know (e.g., 'China-US 10Y spread < -150bp', 'net buying > 20 billion RMB'), with almost no padding. It is not 5 because parts restate textbook mechanics Claude already knows, such as the 'Strong-dollar phase → capital outflows from emerging markets' chain and the PPP/UIP model framing.

4 / 5

Actionability

Guidance is fully concrete and usable as-is: exact numeric signal thresholds (DXY > 105, IG spread > 150bp, 5 consecutive days of net buying > 20B RMB), a 4-step dashboard workflow, an executable macro-factor scoring dict, and a copy-paste report output template. Not below 5 because the specific examples cover the common analysis case end to end.

5 / 5

Workflow Clarity

'Steps for Building a Macro Dashboard' gives a clear sequence (data collection → cycle positioning → factor scoring → asset mapping) with a concrete -2..+2 scoring scale. It is not 5 because there are no explicit validation checkpoints (e.g., cross-checking conflicting signals or verifying data freshness), and not 3 because the sequence is complete and well-defined for a non-destructive analysis task.

4 / 5

Progressive Disclosure

The skill is a single self-contained SKILL.md (~150 lines) with well-organized section headers, tables, and no buried or nested references; no bundle files exist to verify. It is not 5 because reference-like material (historical Fed-cycle transmission stats, geopolitical event impact tables) could be split into a references/ file to keep the overview leaner.

4 / 5

Total

17

/

20

Passed

Description

66%Weight 40%Scale 1-5

Based on the skill's description, can an agent find and select it at the right time? Clear, specific descriptions lead to better discovery.

A domain-specific, mostly concrete description that clearly states what the framework does and covers four distinct sub-areas. Its main weakness is the complete absence of a 'when to use' trigger clause, which caps completeness and weakens discoverability. Trigger-term coverage is good but misses common synonyms.

Suggestions

Add an explicit trigger clause, e.g. 'Use when the user asks about macro-driven asset allocation, Fed/ECB/BOJ policy, FX regime shifts, geopolitical risk, or global capital flows.'

Include common natural synonyms such as 'monetary policy', 'interest rates', 'dollar cycle', and 'northbound flows' so users phrasing the need differently still trigger the skill.

State the concrete output artifact (a macro factor scoring dashboard / report) in the description to sharpen the 'what'.

DimensionReasoningScore

Specificity

The description names the domain ('Global macro analysis framework') and four concrete sub-areas ('central bank policy transmission / FX forecasting / geopolitical risk / capital flows') plus a concrete output ('build macro factor signals that drive cross-asset allocation'), leaving minor gaps in coverage. It is above score 3 because it lists several specific capabilities rather than 1-2, but below 5 because it is framework-level rather than a comprehensive list of distinct actions.

4 / 5

Completeness

It has a clear 'what' (build macro factor signals from central-bank policy, FX, geopolitics, and capital flows) but no 'Use when...' clause or equivalent trigger guidance, which caps completeness at 3 per the judging guidelines. It is not a 2 because the 'what' is specific and well-defined, not vague.

3 / 5

Trigger Term Quality

'central bank policy transmission', 'FX forecasting', 'geopolitical risk', 'capital flows', and 'macro factor signals' are natural phrases a macro-focused user would say, giving good keyword coverage. It falls short of 5 because common variations such as 'monetary policy', 'interest rates', 'Fed decisions', or 'dollar cycle' are missing.

4 / 5

Distinctiveness Conflict Risk

The niche (global macro factors driving cross-asset allocation) is distinct from technical-analysis or single-market skills, with only minor overlap risk against generic 'market analysis' skills. Not 5 because no explicit trigger phrases sharply separate it from adjacent macro/market-analysis skills.

4 / 5

Total

15

/

20

Passed

Validation

93%

Checks the skill against the spec for correct structure and formatting. All validation checks must pass before discovery and implementation can be scored.

Validation — 15 / 16 Passed

Validation for skill structure

CriteriaDescriptionResult

frontmatter_unknown_keys

Unknown frontmatter key(s) found; consider removing or moving to metadata

Warning

Total

15

/

16

Passed

Repository
charliedream1/ai_quant_trade
Reviewed

Table of Contents

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