What problem does it solve?
This Skill produces professional, evidence-driven macroeconomic intelligence notes that synthesize the latest data, central-bank signals, market pricing, and geopolitical developments into a clear cross-asset research product, removing the manual work of gathering, timestamping, and structuring a sell-side/hedge-fund style macro report.
Core Features & Use Cases
- Cross-Asset Research: Produces US-first macro outlooks that integrate equities, rates, FX, commodities, crypto, and credit with explicit cause-and-effect transmission chains.
- Evidence-First Workflow: Prioritizes primary sources, market-implied pricing, and timestamped facts; builds a just-happened/recent/upcoming radar and a smart-money flow read.
- Automated Deliverables: Writes an English Markdown report and a faithful Traditional Chinese translation, saves both to reports/macro/ with zero-padded daily sequencing, and stages and commits output files when permitted.
- Use Case: Produce a sell-side style macro strategy note explaining why gold is rallying despite firmer real yields, and describe where institutional flows are rotating across risk assets.
Quick Start
Generate a current US-first macro intelligence report for today covering equities, rates, FX, commodities, crypto, and credit and save the English and Traditional Chinese Markdown files to reports/macro/.