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Investment, Trading & Crypto Workflows

Investment, Trading & Crypto Workflows

Version: 1.0.0 Last Updated: December 12, 2025 Category: Financial Automation Workflows Total Workflows: 50


Table of Contents

  1. Investment Portfolio (10 workflows)
  2. Stock Trading (10 workflows)
  3. Cryptocurrency (10 workflows)
  4. Real Estate Investing (10 workflows)
  5. Alternative Investments (10 workflows)

Workflow Phases

Phase 1: Initialization

Set up prerequisites and validate inputs.

Phase 2: Processing

Execute the main workflow steps.

Phase 3: Verification

Validate outputs and confirm completion.

Phase 4: Finalization

Clean up and generate reports.

Investment Portfolio

1. portfolio-analysis-comprehensive

  • Description: Complete portfolio analysis with asset allocation, performance metrics, risk assessment, and rebalancing recommendations.
  • Trigger: /analyze-portfolio or manual
  • Complexity: complex
  • Duration: 15-30m
  • QA Integration: validation: required, review: recommended
  • Dependencies:
    • Agents: financial-analyst, data-analyst, research-agent
    • Commands: /export-portfolio-data, /generate-report
  • Steps:
    1. Data Import - financial-analyst - Import portfolio holdings from broker APIs or CSV
    2. Position Analysis - data-analyst - Calculate current allocation, cost basis, unrealized gains/losses
    3. Performance Metrics - financial-analyst - Calculate ROI, Sharpe ratio, alpha, beta vs benchmarks
    4. Risk Assessment - financial-analyst - Analyze volatility, concentration risk, correlation matrix
    5. Rebalancing Analysis - financial-analyst - Compare current vs target allocation, recommend trades
    6. Report Generation - documentation-writer - Create comprehensive PDF report with visualizations
    7. Validation - qa-specialist - Verify calculations and data integrity
    8. Review - code-reviewer - Human review of recommendations before execution
  • Tags: portfolio, analysis, rebalancing, risk-management, performance

2. dividend-tracking-automation

  • Description: Automated tracking of dividend payments, reinvestment calculations, and yield-on-cost analysis.
  • Trigger: /track-dividends or scheduled daily
  • Complexity: moderate
  • Duration: 5-15m
  • QA Integration: validation: required, review: none
  • Dependencies:
    • Agents: financial-analyst, data-analyst, notification-specialist
    • Commands: /import-dividend-data, /calculate-yield
  • Steps:
    1. Data Collection - financial-analyst - Fetch dividend announcements and payment dates
    2. Payment Tracking - data-analyst - Record ex-dates, payment dates, amounts received
    3. Yield Calculation - financial-analyst - Calculate current yield, yield-on-cost, dividend growth rate
    4. Reinvestment Planning - financial-analyst - Calculate DRIP shares or alternative investments
    5. Tax Analysis - financial-analyst - Categorize qualified vs non-qualified dividends
    6. Notification - notification-specialist - Send alerts for upcoming dividend payments
    7. Report Update - documentation-writer - Update dividend tracking spreadsheet/dashboard
    8. Validation - qa-specialist - Verify payment amounts match expectations
  • Tags: dividends, passive-income, yield, drip, tax-planning

3. tax-loss-harvesting

  • Description: Identify tax-loss harvesting opportunities, ensure wash-sale compliance, and optimize capital gains/losses.
  • Trigger: /harvest-losses or quarterly
  • Complexity: complex
  • Duration: 15-30m
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: financial-analyst, tax-specialist, compliance-specialist
    • Commands: /analyze-tax-lots, /find-alternatives
  • Steps:
    1. Position Analysis - financial-analyst - Identify positions with unrealized losses
    2. Tax Lot Review - tax-specialist - Analyze specific vs FIFO cost basis methods
    3. Wash Sale Check - compliance-specialist - Review 30-day window for wash sale violations
    4. Alternative Search - research-agent - Find similar securities to maintain exposure
    5. Trade Planning - financial-analyst - Create sell orders for losses, buy orders for alternatives
    6. Tax Impact Calculation - tax-specialist - Project tax savings and carryforward losses
    7. Documentation - documentation-writer - Create audit trail for tax reporting
    8. Execution Validation - qa-specialist - Verify trades executed correctly
    9. Final Review - code-reviewer - Human approval before trade execution
  • Tags: tax-optimization, capital-losses, wash-sale, tax-planning, year-end

4. performance-reporting-monthly

  • Description: Generate monthly portfolio performance reports with benchmarking, attribution analysis, and trend visualization.
  • Trigger: /generate-performance-report or monthly schedule
  • Complexity: moderate
  • Duration: 15-30m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: financial-analyst, data-analyst, visualization-specialist
    • Commands: /export-performance-data, /generate-charts
  • Steps:
    1. Data Aggregation - data-analyst - Collect month-end positions, transactions, cash flows
    2. Return Calculation - financial-analyst - Calculate time-weighted and money-weighted returns
    3. Benchmark Comparison - financial-analyst - Compare vs S&P 500, target allocation benchmarks
    4. Attribution Analysis - financial-analyst - Break down returns by asset class, sector, security
    5. Risk Metrics - financial-analyst - Calculate volatility, max drawdown, risk-adjusted returns
    6. Visualization - visualization-specialist - Create charts for returns, allocation, trends
    7. Report Assembly - documentation-writer - Compile PDF report with executive summary
    8. Distribution - notification-specialist - Email report to stakeholders
  • Tags: performance, reporting, benchmarking, attribution, monthly

5. risk-assessment-quarterly

  • Description: Comprehensive quarterly risk assessment including portfolio volatility, stress testing, and risk tolerance alignment.
  • Trigger: /assess-risk or quarterly
  • Complexity: complex
  • Duration: 30m+
  • QA Integration: validation: required, review: recommended
  • Dependencies:
    • Agents: financial-analyst, risk-analyst, research-agent
    • Commands: /calculate-var, /stress-test
  • Steps:
    1. Portfolio Snapshot - data-analyst - Capture current holdings and allocation
    2. Volatility Analysis - risk-analyst - Calculate portfolio standard deviation, beta
    3. Value at Risk - risk-analyst - Calculate VaR and CVaR at 95% and 99% confidence
    4. Correlation Analysis - financial-analyst - Build correlation matrix, identify concentration risks
    5. Stress Testing - risk-analyst - Model portfolio under historical crisis scenarios
    6. Factor Exposure - financial-analyst - Analyze exposure to market, size, value, momentum factors
    7. Risk Tolerance Review - financial-analyst - Compare risk metrics vs investor risk profile
    8. Recommendations - senior-architect - Suggest risk mitigation strategies
    9. Report Generation - documentation-writer - Create comprehensive risk report
    10. Review - code-reviewer - Stakeholder review of findings
  • Tags: risk-management, var, stress-testing, volatility, quarterly

6. asset-allocation-rebalancing

  • Description: Automated portfolio rebalancing to maintain target asset allocation within tolerance bands.
  • Trigger: /rebalance-portfolio or manual
  • Complexity: moderate
  • Duration: 5-15m
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: financial-analyst, trade-executor, tax-specialist
    • Commands: /calculate-allocation, /generate-trades
  • Steps:
    1. Current Allocation - financial-analyst - Calculate current asset class percentages
    2. Drift Analysis - financial-analyst - Compare vs target allocation, identify drift
    3. Threshold Check - financial-analyst - Determine if rebalancing thresholds exceeded
    4. Tax Consideration - tax-specialist - Evaluate tax impact of proposed trades
    5. Trade Calculation - financial-analyst - Calculate exact shares to buy/sell
    6. Order Generation - trade-executor - Create rebalancing trade orders
    7. Cost Analysis - financial-analyst - Calculate trading costs and tax impact
    8. Approval - code-reviewer - Human approval of trade list
    9. Execution - trade-executor - Submit orders to broker
    10. Validation - qa-specialist - Verify new allocation matches target
  • Tags: rebalancing, asset-allocation, portfolio-management, automation

7. benchmark-comparison-analysis

  • Description: Compare portfolio performance against relevant benchmarks with statistical significance testing.
  • Trigger: /compare-benchmarks or manual
  • Complexity: moderate
  • Duration: 5-15m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: financial-analyst, data-analyst, research-agent
    • Commands: /fetch-benchmark-data, /calculate-metrics
  • Steps:
    1. Benchmark Selection - financial-analyst - Choose appropriate benchmarks (S&P 500, total market, etc.)
    2. Data Collection - data-analyst - Download historical benchmark returns
    3. Return Calculation - financial-analyst - Calculate portfolio returns for same time periods
    4. Relative Performance - financial-analyst - Calculate alpha, tracking error, information ratio
    5. Statistical Testing - data-analyst - Test if outperformance is statistically significant
    6. Attribution Analysis - financial-analyst - Determine sources of over/underperformance
    7. Visualization - visualization-specialist - Create performance comparison charts
    8. Report Generation - documentation-writer - Summarize findings with actionable insights
  • Tags: benchmarking, performance, alpha, statistical-analysis

8. fee-analysis-optimization

  • Description: Analyze portfolio fees (expense ratios, advisor fees, trading costs) and identify optimization opportunities.
  • Trigger: /analyze-fees or annual
  • Complexity: moderate
  • Duration: 15-30m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: financial-analyst, research-agent, cost-optimizer
    • Commands: /calculate-fees, /find-alternatives
  • Steps:
    1. Fee Collection - data-analyst - Extract all fees: expense ratios, 12b-1, advisor, trading
    2. Cost Calculation - financial-analyst - Calculate total cost of ownership as percentage
    3. Historical Analysis - financial-analyst - Analyze fees paid over 1, 3, 5 years
    4. Alternative Research - research-agent - Find lower-cost alternatives for each holding
    5. Impact Projection - financial-analyst - Calculate long-term impact of fee reduction
    6. Tax Consideration - tax-specialist - Evaluate tax impact of fund swaps
    7. Recommendation - financial-analyst - Prioritize fee reduction opportunities
    8. Report - documentation-writer - Create fee analysis report with action items
  • Tags: fees, expense-ratio, cost-optimization, value-engineering

9. retirement-planning-projection

  • Description: Project retirement portfolio growth, calculate withdrawal sustainability, and optimize retirement strategy.
  • Trigger: /project-retirement or manual
  • Complexity: complex
  • Duration: 30m+
  • QA Integration: validation: required, review: recommended
  • Dependencies:
    • Agents: financial-analyst, monte-carlo-specialist, tax-specialist
    • Commands: /run-simulation, /calculate-swr
  • Steps:
    1. Data Input - financial-analyst - Current portfolio value, retirement age, expected contributions
    2. Assumption Setting - financial-analyst - Return expectations, inflation, life expectancy
    3. Monte Carlo Simulation - monte-carlo-specialist - Run 10,000 scenarios of portfolio growth
    4. Withdrawal Analysis - financial-analyst - Test 3%, 4%, 5% withdrawal rates
    5. Social Security Integration - financial-analyst - Factor in expected SS benefits
    6. Tax Optimization - tax-specialist - Plan Roth conversions, RMD strategy
    7. Risk Analysis - risk-analyst - Calculate probability of success for different scenarios
    8. Sensitivity Analysis - data-analyst - Show impact of return assumptions, inflation changes
    9. Visualization - visualization-specialist - Create retirement projection charts
    10. Report - documentation-writer - Generate comprehensive retirement plan
  • Tags: retirement, monte-carlo, withdrawal-rate, financial-planning

10. portfolio-health-dashboard

  • Description: Real-time dashboard showing portfolio health metrics, alerts, and actionable insights.
  • Trigger: /update-dashboard or real-time
  • Complexity: moderate
  • Duration: 1-5m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: dashboard-builder, financial-analyst, notification-specialist
    • Commands: /refresh-data, /check-alerts
  • Steps:
    1. Data Refresh - data-analyst - Pull latest prices, positions, transactions
    2. Metric Calculation - financial-analyst - Update all key metrics (returns, allocation, risk)
    3. Alert Check - notification-specialist - Check for threshold breaches (drift, losses, fees)
    4. Trend Analysis - data-analyst - Calculate short-term and long-term trends
    5. Action Items - financial-analyst - Generate prioritized to-do list
    6. Visualization Update - dashboard-builder - Refresh all charts and gauges
    7. Mobile Notification - notification-specialist - Push critical alerts to mobile
    8. Dashboard Publish - dashboard-builder - Update live dashboard
  • Tags: dashboard, real-time, monitoring, alerts, health-check

Stock Trading

11. market-analysis-daily

  • Description: Automated daily market analysis including sector performance, market breadth, and trend identification.
  • Trigger: /analyze-market or daily pre-market
  • Complexity: moderate
  • Duration: 5-15m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: market-analyst, technical-analyst, sentiment-analyst
    • Commands: /fetch-market-data, /analyze-breadth
  • Steps:
    1. Index Analysis - market-analyst - Review S&P 500, Nasdaq, Dow performance
    2. Sector Rotation - market-analyst - Identify leading and lagging sectors
    3. Breadth Analysis - technical-analyst - Calculate advance/decline ratio, new highs/lows
    4. Volume Analysis - technical-analyst - Analyze volume trends and climax indicators
    5. VIX Analysis - market-analyst - Review volatility index for fear/greed signals
    6. Trend Identification - technical-analyst - Determine market regime (bull, bear, range)
    7. News Sentiment - sentiment-analyst - Aggregate market sentiment from news/social
    8. Report Generation - documentation-writer - Create morning market briefing
    9. Distribution - notification-specialist - Email/push notification to traders
  • Tags: market-analysis, daily, sectors, breadth, pre-market

12. trade-execution-smart-order

  • Description: Execute trades with intelligent order routing, slippage minimization, and execution quality monitoring.
  • Trigger: /execute-trade [symbol] [quantity] [order-type]
  • Complexity: complex
  • Duration: 1-5m
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: trade-executor, market-analyst, compliance-specialist
    • Commands: /check-liquidity, /route-order
  • Steps:
    1. Pre-Trade Check - compliance-specialist - Verify sufficient buying power, margin compliance
    2. Liquidity Analysis - market-analyst - Check volume, bid-ask spread, order book depth
    3. Order Type Selection - trade-executor - Choose market, limit, VWAP based on conditions
    4. Price Optimization - trade-executor - Set limit price to minimize slippage
    5. Order Routing - trade-executor - Route to best execution venue
    6. Partial Fill Management - trade-executor - Monitor fills, adjust remaining order
    7. Execution Monitoring - trade-executor - Track execution price vs benchmark
    8. Post-Trade Analysis - market-analyst - Calculate execution quality, slippage
    9. Confirmation - notification-specialist - Send trade confirmation notification
    10. Logging - data-analyst - Record trade details for journal and analysis
  • Tags: trade-execution, smart-order, slippage, execution-quality

13. position-sizing-calculator

  • Description: Calculate optimal position size based on risk tolerance, portfolio value, and volatility.
  • Trigger: /calculate-position-size [symbol] [entry-price] [stop-loss]
  • Complexity: simple
  • Duration: 1-5m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: risk-analyst, financial-analyst
    • Commands: /get-portfolio-value, /calculate-volatility
  • Steps:
    1. Risk Parameters - risk-analyst - Get max risk per trade (e.g., 1% of portfolio)
    2. Portfolio Value - financial-analyst - Fetch current portfolio value
    3. Risk Amount - risk-analyst - Calculate dollar risk (portfolio * risk %)
    4. Price Range - risk-analyst - Calculate entry to stop-loss distance
    5. Share Calculation - risk-analyst - Divide risk amount by price range
    6. Volatility Adjustment - risk-analyst - Reduce size for high volatility stocks
    7. Margin Check - compliance-specialist - Verify position within margin limits
    8. Recommendation - risk-analyst - Return recommended share quantity
  • Tags: position-sizing, risk-management, volatility, kelly-criterion

14. stop-loss-management-dynamic

  • Description: Dynamically adjust stop-loss orders based on volatility, support levels, and profit targets.
  • Trigger: /manage-stops or real-time monitoring
  • Complexity: moderate
  • Duration: 1-5m per position
  • QA Integration: validation: required, review: none
  • Dependencies:
    • Agents: technical-analyst, risk-analyst, trade-executor
    • Commands: /update-stop-order, /calculate-atr
  • Steps:
    1. Position Review - risk-analyst - Get all open positions and current stop levels
    2. Volatility Check - technical-analyst - Calculate ATR for each position
    3. Support Analysis - technical-analyst - Identify key support levels
    4. Trailing Stop Logic - risk-analyst - Calculate trailing stop based on rules (%, ATR)
    5. Profit Target Check - risk-analyst - Move stop to breakeven after profit target hit
    6. Stop Adjustment - trade-executor - Submit modified stop-loss orders
    7. Validation - qa-specialist - Verify new stops are active and correct
    8. Notification - notification-specialist - Alert if stops are tightened significantly
  • Tags: stop-loss, trailing-stop, risk-management, atr, dynamic

15. earnings-tracking-calendar

  • Description: Track upcoming earnings reports, pre-announce trades, and analyze post-earnings moves.
  • Trigger: /track-earnings or daily
  • Complexity: moderate
  • Duration: 5-15m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: fundamental-analyst, event-tracker, notification-specialist
    • Commands: /fetch-earnings-calendar, /analyze-estimates
  • Steps:
    1. Calendar Import - event-tracker - Fetch earnings dates for all holdings and watchlist
    2. Estimate Analysis - fundamental-analyst - Review consensus estimates and whisper numbers
    3. Historical Analysis - data-analyst - Analyze past earnings reactions (average move %)
    4. Position Review - risk-analyst - Flag positions with earnings in next 5 days
    5. Risk Assessment - risk-analyst - Calculate potential impact on portfolio
    6. Strategy Planning - trade-executor - Decide hold, trim, or close before earnings
    7. IV Analysis - options-analyst - Review implied volatility vs historical volatility
    8. Notification - notification-specialist - Send alerts 2 days before earnings
    9. Post-Earnings Analysis - fundamental-analyst - Compare actual vs estimate, analyze reaction
  • Tags: earnings, calendar, fundamental-analysis, event-trading

16. technical-analysis-screening

  • Description: Screen stocks for technical setups: breakouts, pullbacks, momentum, mean-reversion patterns.
  • Trigger: /screen-technicals [strategy] or daily
  • Complexity: moderate
  • Duration: 5-15m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: technical-analyst, screener-specialist, research-agent
    • Commands: /run-scan, /chart-analysis
  • Steps:
    1. Strategy Selection - technical-analyst - Choose scan criteria (breakout, pullback, etc.)
    2. Universe Definition - screener-specialist - Define stock universe (S&P 500, high volume, etc.)
    3. Technical Criteria - technical-analyst - Set indicator parameters (RSI, MACD, volume)
    4. Scan Execution - screener-specialist - Run scan across universe
    5. Result Filtering - technical-analyst - Remove low liquidity, high spread stocks
    6. Chart Review - technical-analyst - Visual confirmation of setups
    7. Fundamental Filter - fundamental-analyst - Remove earnings/news risk
    8. Ranking - technical-analyst - Score and rank opportunities
    9. Watchlist Update - data-analyst - Add top candidates to watchlist
    10. Notification - notification-specialist - Send top 5 setups report
  • Tags: technical-analysis, screening, breakouts, momentum, patterns

17. fundamental-screening-value

  • Description: Screen for value stocks using fundamental metrics: P/E, P/B, dividend yield, quality factors.
  • Trigger: /screen-value or weekly
  • Complexity: moderate
  • Duration: 15-30m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: fundamental-analyst, screener-specialist, financial-analyst
    • Commands: /fetch-fundamentals, /calculate-metrics
  • Steps:
    1. Criteria Definition - fundamental-analyst - Set value thresholds (P/E < 15, P/B < 2, etc.)
    2. Quality Filters - fundamental-analyst - Add quality screens (ROE > 10%, debt/equity < 1)
    3. Universe Selection - screener-specialist - Choose market cap range and sectors
    4. Data Collection - data-analyst - Fetch financial statements and ratios
    5. Metric Calculation - fundamental-analyst - Calculate custom metrics (EV/EBITDA, FCF yield)
    6. Screening - screener-specialist - Filter stocks meeting all criteria
    7. Valuation Analysis - fundamental-analyst - DCF or relative valuation for top candidates
    8. Trend Check - technical-analyst - Ensure technical confirmation (uptrend or basing)
    9. Ranking - fundamental-analyst - Create composite score and rank
    10. Report - documentation-writer - Generate value screening report
  • Tags: fundamental-analysis, value-investing, screening, p/e-ratio, quality

18. trade-journal-automation

  • Description: Automatically log trades, analyze performance, identify mistakes, and track improvement.
  • Trigger: /update-journal or after each trade
  • Complexity: simple
  • Duration: 1-5m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: trade-executor, data-analyst, reflection-specialist
    • Commands: /log-trade, /analyze-performance
  • Steps:
    1. Trade Capture - trade-executor - Record entry price, size, stop, target
    2. Setup Classification - technical-analyst - Tag trade type (breakout, pullback, etc.)
    3. Screenshot - trade-executor - Capture entry chart
    4. Emotion Log - reflection-specialist - Record emotional state and confidence level
    5. Exit Recording - trade-executor - Log exit price, date, reason
    6. P&L Calculation - financial-analyst - Calculate profit/loss, % return, R-multiple
    7. Mistake Analysis - reflection-specialist - Identify rule violations or errors
    8. Pattern Recognition - data-analyst - Detect winning/losing patterns over time
    9. Statistics Update - data-analyst - Update win rate, average R, expectancy
    10. Review Notification - notification-specialist - Weekly summary of journal insights
  • Tags: trade-journal, performance-tracking, self-improvement, statistics

19. risk-management-dashboard

  • Description: Real-time risk monitoring showing total exposure, correlation, position heat map, and alerts.
  • Trigger: /update-risk-dashboard or real-time
  • Complexity: moderate
  • Duration: 1-5m
  • QA Integration: validation: required, review: none
  • Dependencies:
    • Agents: risk-analyst, dashboard-builder, notification-specialist
    • Commands: /calculate-exposure, /check-correlations
  • Steps:
    1. Position Aggregation - risk-analyst - Sum all long/short positions by symbol
    2. Exposure Calculation - risk-analyst - Calculate gross and net exposure
    3. Sector Concentration - risk-analyst - Group positions by sector, flag overconcentration
    4. Correlation Matrix - data-analyst - Calculate pairwise correlations
    5. Heat Map - visualization-specialist - Create correlation heat map
    6. VaR Calculation - risk-analyst - Calculate portfolio Value at Risk
    7. Margin Check - compliance-specialist - Monitor margin usage vs limits
    8. Alert Generation - notification-specialist - Flag risk threshold breaches
    9. Dashboard Update - dashboard-builder - Refresh live risk dashboard
    10. Mobile Push - notification-specialist - Send critical risk alerts
  • Tags: risk-management, exposure, correlation, var, real-time

20. portfolio-hedging-strategies

  • Description: Implement portfolio hedging using options, inverse ETFs, or short positions to protect against downside.
  • Trigger: /hedge-portfolio [strategy] or manual
  • Complexity: complex
  • Duration: 15-30m
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: options-specialist, risk-analyst, trade-executor
    • Commands: /analyze-options, /calculate-hedge-ratio
  • Steps:
    1. Portfolio Analysis - risk-analyst - Calculate portfolio beta and downside risk
    2. Hedge Strategy Selection - options-specialist - Choose puts, collars, inverse ETF, or shorts
    3. Correlation Check - data-analyst - Verify hedge correlation with portfolio
    4. Sizing Calculation - risk-analyst - Determine hedge size based on portfolio value
    5. Cost Analysis - financial-analyst - Calculate hedge cost and breakeven scenarios
    6. Options Analysis - options-specialist - Select strikes and expirations for best value
    7. Scenario Testing - monte-carlo-specialist - Model portfolio performance with hedge
    8. Trade List - trade-executor - Generate hedge orders
    9. Approval - code-reviewer - Human review of hedge strategy
    10. Execution - trade-executor - Place hedge trades
    11. Monitoring - risk-analyst - Track hedge effectiveness over time
  • Tags: hedging, options, risk-management, portfolio-protection, puts

Cryptocurrency

21. wallet-management-multi-chain

  • Description: Manage multi-chain crypto wallets, track balances, monitor transactions, and ensure security.
  • Trigger: /manage-wallets or manual
  • Complexity: moderate
  • Duration: 5-15m
  • QA Integration: validation: required, review: recommended
  • Dependencies:
    • Agents: blockchain-analyst, security-specialist, transaction-monitor
    • Commands: /sync-wallets, /check-balances
  • Steps:
    1. Wallet Discovery - blockchain-analyst - Connect to all wallets (hardware, software, exchange)
    2. Balance Aggregation - blockchain-analyst - Fetch balances across all chains (ETH, BTC, Solana, etc.)
    3. USD Conversion - financial-analyst - Convert all balances to USD at current prices
    4. Transaction History - transaction-monitor - Fetch recent transactions across all wallets
    5. Security Check - security-specialist - Verify no unauthorized transactions
    6. Gas Optimization - blockchain-analyst - Alert if gas prices favorable for pending transactions
    7. Diversification Analysis - financial-analyst - Calculate allocation by chain and token
    8. Staking Opportunities - defi-specialist - Identify unstaked tokens that could earn yield
    9. Dashboard Update - dashboard-builder - Update wallet dashboard with all data
    10. Backup Reminder - security-specialist - Prompt for seed phrase backup verification
  • Tags: crypto, wallets, multi-chain, balance-tracking, security

22. defi-yield-tracking

  • Description: Track DeFi positions across protocols (Aave, Compound, Uniswap), calculate APY, monitor impermanent loss.
  • Trigger: /track-defi or daily
  • Complexity: complex
  • Duration: 15-30m
  • QA Integration: validation: required, review: none
  • Dependencies:
    • Agents: defi-specialist, blockchain-analyst, financial-analyst
    • Commands: /fetch-defi-positions, /calculate-apy
  • Steps:
    1. Protocol Connection - defi-specialist - Connect to all DeFi protocols used
    2. Position Discovery - defi-specialist - Fetch lending, liquidity pool, staking positions
    3. APY Calculation - financial-analyst - Calculate current APY including rewards
    4. Impermanent Loss - defi-specialist - Calculate IL for liquidity pool positions
    5. Reward Tracking - defi-specialist - Track accumulated protocol rewards (tokens)
    6. Health Factor - defi-specialist - Monitor collateralization ratios for loans
    7. Gas Cost Analysis - blockchain-analyst - Calculate gas costs vs yield earned
    8. Rebalancing Check - defi-specialist - Identify positions to rebalance or exit
    9. Tax Preparation - tax-specialist - Categorize income for tax reporting
    10. Report - documentation-writer - Generate DeFi yield summary report
  • Tags: defi, yield-farming, apy, impermanent-loss, liquidity-pools

23. nft-portfolio-management

  • Description: Track NFT holdings, monitor floor prices, analyze rarity, and identify selling opportunities.
  • Trigger: /manage-nfts or manual
  • Complexity: moderate
  • Duration: 5-15m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: nft-analyst, blockchain-analyst, market-analyst
    • Commands: /sync-nfts, /check-floor-prices
  • Steps:
    1. NFT Discovery - nft-analyst - Scan wallets for all NFTs across chains
    2. Metadata Fetch - nft-analyst - Get collection name, traits, rarity rank
    3. Floor Price Check - market-analyst - Fetch current floor prices from OpenSea, Blur, etc.
    4. Valuation - financial-analyst - Calculate portfolio value using floor prices
    5. Rarity Analysis - nft-analyst - Assess rarity score for each NFT
    6. Collection Analytics - nft-analyst - Review collection volume, holder count, trends
    7. Price Alerts - notification-specialist - Alert if floor price drops/rises significantly
    8. Listing Opportunities - nft-analyst - Identify NFTs to list above floor price
    9. Tax Basis Tracking - tax-specialist - Track cost basis for tax reporting
    10. Dashboard Update - dashboard-builder - Update NFT portfolio dashboard
  • Tags: nft, portfolio, floor-price, rarity, opensea

24. staking-optimization

  • Description: Optimize crypto staking across protocols to maximize yield while managing lock-up risks.
  • Trigger: /optimize-staking or manual
  • Complexity: moderate
  • Duration: 15-30m
  • QA Integration: validation: required, review: recommended
  • Dependencies:
    • Agents: staking-specialist, defi-specialist, risk-analyst
    • Commands: /find-staking-opportunities, /compare-yields
  • Steps:
    1. Token Inventory - blockchain-analyst - Identify stakeable tokens in wallets
    2. Opportunity Scan - staking-specialist - Find staking options for each token
    3. Yield Comparison - financial-analyst - Compare APY across protocols (native, liquid, CEX)
    4. Risk Assessment - risk-analyst - Evaluate protocol risk, slashing risk, lock-up periods
    5. Liquidity Analysis - defi-specialist - Consider liquid staking for better liquidity
    6. Tax Implications - tax-specialist - Analyze tax treatment of staking rewards
    7. Diversification - risk-analyst - Avoid overconcentration in single protocol
    8. Execution Plan - staking-specialist - Create step-by-step staking instructions
    9. Gas Optimization - blockchain-analyst - Time stakes when gas prices are low
    10. Monitoring Setup - notification-specialist - Set up alerts for reward accrual
  • Tags: staking, yield-optimization, proof-of-stake, liquid-staking, apy

25. airdrop-tracking-automation

  • Description: Track airdrop eligibility, claim airdrops automatically, and optimize for future airdrops.
  • Trigger: /track-airdrops or daily
  • Complexity: moderate
  • Duration: 5-15m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: airdrop-hunter, blockchain-analyst, notification-specialist
    • Commands: /check-eligibility, /claim-airdrop
  • Steps:
    1. Eligibility Check - airdrop-hunter - Check wallets for eligible airdrops
    2. Snapshot Review - blockchain-analyst - Review past snapshots for unclaimed drops
    3. Claim Automation - airdrop-hunter - Auto-claim eligible airdrops (if gas efficient)
    4. Gas Optimization - blockchain-analyst - Wait for low gas to claim if not time-sensitive
    5. Future Planning - airdrop-hunter - Identify protocols likely to airdrop
    6. Activity Tracking - blockchain-analyst - Track on-chain activity for airdrop farming
    7. Sybil Risk - compliance-specialist - Ensure compliance with airdrop rules
    8. Tax Reporting - tax-specialist - Record airdrop value for tax purposes
    9. Notification - notification-specialist - Alert for new airdrop announcements
    10. Strategy Update - airdrop-hunter - Update airdrop farming strategy
  • Tags: airdrops, crypto, eligibility, claiming, farming

26. crypto-tax-reporting

  • Description: Comprehensive crypto tax reporting including transactions, income, staking rewards, and DeFi activity.
  • Trigger: /generate-crypto-taxes or annual
  • Complexity: complex
  • Duration: 30m+
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: tax-specialist, blockchain-analyst, accounting-specialist
    • Commands: /export-transactions, /calculate-gains
  • Steps:
    1. Transaction Export - blockchain-analyst - Export all transactions from all wallets
    2. Exchange Data - blockchain-analyst - Export trades from CEX (Coinbase, Binance, etc.)
    3. Cost Basis Calculation - tax-specialist - Calculate cost basis using FIFO, LIFO, or HIFO
    4. Capital Gains - tax-specialist - Calculate short-term and long-term capital gains
    5. Income Classification - tax-specialist - Classify staking, airdrops, mining as income
    6. DeFi Activity - defi-specialist - Categorize swaps, liquidity pool transactions
    7. NFT Sales - nft-analyst - Track NFT sales and collectible gains/losses
    8. Form Generation - accounting-specialist - Generate Form 8949, Schedule D
    9. Loss Harvesting - tax-specialist - Identify tax-loss harvesting opportunities
    10. Report Export - documentation-writer - Export for TurboTax/TaxAct integration
    11. Review - code-reviewer - CPA review before filing
  • Tags: crypto-taxes, capital-gains, form-8949, tax-reporting, defi

27. security-audit-crypto

  • Description: Audit crypto security: check wallet permissions, revoke approvals, verify contracts, detect scams.
  • Trigger: /audit-security or monthly
  • Complexity: moderate
  • Duration: 15-30m
  • QA Integration: validation: required, review: recommended
  • Dependencies:
    • Agents: security-specialist, blockchain-analyst, smart-contract-auditor
    • Commands: /check-approvals, /scan-transactions
  • Steps:
    1. Wallet Scan - security-specialist - Scan all wallets for security issues
    2. Approval Review - blockchain-analyst - List all token approvals granted
    3. Revoke Unsafe - security-specialist - Revoke approvals for dormant/risky contracts
    4. Transaction History - blockchain-analyst - Review recent transactions for anomalies
    5. Contract Verification - smart-contract-auditor - Verify contracts are audited and safe
    6. Phishing Check - security-specialist - Check for phishing site interactions
    7. Seed Phrase Security - security-specialist - Verify seed phrases never entered online
    8. Multi-Sig Review - security-specialist - Ensure high-value wallets use multi-sig
    9. Hardware Wallet - security-specialist - Recommend hardware wallet for large holdings
    10. Report - documentation-writer - Generate security audit report with action items
  • Tags: security, crypto, smart-contracts, approvals, phishing

28. yield-farming-automation

  • Description: Automated yield farming: monitor APY, compound rewards, rebalance pools, and optimize gas.
  • Trigger: /farm-yield or daily
  • Complexity: complex
  • Duration: 15-30m
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: defi-specialist, yield-optimizer, blockchain-analyst
    • Commands: /find-farms, /compound-rewards
  • Steps:
    1. Opportunity Scan - yield-optimizer - Scan DeFi protocols for high-yield farms
    2. APY Comparison - financial-analyst - Compare APY across protocols (adjust for IL)
    3. Risk Assessment - risk-analyst - Evaluate smart contract risk, rugpull risk
    4. Entry Calculation - defi-specialist - Calculate optimal LP token amounts
    5. Gas Optimization - blockchain-analyst - Execute when gas prices are low
    6. Position Entry - trade-executor - Stake in selected yield farm
    7. Reward Monitoring - defi-specialist - Track reward accrual
    8. Auto-Compound - yield-optimizer - Compound rewards automatically when profitable
    9. IL Tracking - defi-specialist - Monitor impermanent loss vs rewards earned
    10. Exit Strategy - risk-analyst - Set conditions for farm exit (APY drop, high IL)
    11. Approval - code-reviewer - Human approval for new farm entries
  • Tags: yield-farming, defi, apy, compounding, liquidity-pools

29. portfolio-rebalancing-crypto

  • Description: Rebalance crypto portfolio to maintain target allocation across chains and tokens.
  • Trigger: /rebalance-crypto or manual
  • Complexity: moderate
  • Duration: 5-15m
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: financial-analyst, trade-executor, blockchain-analyst
    • Commands: /calculate-allocation, /execute-swaps
  • Steps:
    1. Current Allocation - blockchain-analyst - Calculate current % allocation by token
    2. Target Comparison - financial-analyst - Compare vs target allocation (e.g., 40% BTC, 30% ETH)
    3. Drift Analysis - financial-analyst - Identify tokens that drifted outside threshold
    4. Swap Calculation - financial-analyst - Calculate exact amounts to buy/sell
    5. DEX Selection - defi-specialist - Choose best DEX for lowest slippage and fees
    6. Gas Estimation - blockchain-analyst - Estimate total gas costs for swaps
    7. Tax Impact - tax-specialist - Calculate tax implications of swaps
    8. Execution Plan - trade-executor - Create ordered list of swaps
    9. Approval - code-reviewer - Human approval of rebalancing plan
    10. Execution - trade-executor - Execute swaps via DEX aggregator
    11. Validation - qa-specialist - Verify new allocation matches target
  • Tags: rebalancing, crypto, portfolio, dex, swaps

30. market-alerts-crypto

  • Description: Real-time crypto market alerts for price movements, volume spikes, whale transactions, and news.
  • Trigger: /setup-alerts or real-time monitoring
  • Complexity: simple
  • Duration: 1-5m setup, continuous monitoring
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: market-analyst, blockchain-analyst, notification-specialist
    • Commands: /create-alert, /monitor-whale-wallet
  • Steps:
    1. Alert Configuration - market-analyst - Set price alerts (% change, absolute price)
    2. Volume Monitoring - blockchain-analyst - Alert on unusual volume spikes
    3. Whale Tracking - blockchain-analyst - Monitor large wallet movements
    4. Funding Rate Alerts - defi-specialist - Alert on extreme funding rates (futures)
    5. Liquidation Alerts - risk-analyst - Alert on large liquidations
    6. News Monitoring - sentiment-analyst - Alert on breaking crypto news
    7. On-Chain Metrics - blockchain-analyst - Alert on unusual on-chain activity
    8. Notification Routing - notification-specialist - Configure SMS, email, push, Discord
    9. Alert Prioritization - notification-specialist - Critical vs informational alerts
    10. Testing - qa-specialist - Test alerts trigger correctly
  • Tags: alerts, crypto, price-monitoring, whale-tracking, notifications

Real Estate Investing

31. deal-analysis-rental-property

  • Description: Comprehensive rental property analysis: cash flow, cap rate, cash-on-cash return, IRR, exit scenarios.
  • Trigger: /analyze-deal [address] or manual
  • Complexity: complex
  • Duration: 30m+
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: real-estate-analyst, financial-analyst, market-analyst
    • Commands: /fetch-property-data, /calculate-returns
  • Steps:
    1. Property Data - real-estate-analyst - Fetch property details, price, bed/bath, sqft
    2. Market Research - market-analyst - Analyze comparable rents and sales in area
    3. Income Projection - real-estate-analyst - Project gross rental income and vacancy rate
    4. Expense Estimation - real-estate-analyst - Estimate PITI, HOA, maintenance, capex, property mgmt
    5. Cash Flow Calculation - financial-analyst - Calculate monthly and annual cash flow
    6. Return Metrics - financial-analyst - Calculate cap rate, cash-on-cash, ROI, IRR
    7. Financing Analysis - real-estate-analyst - Model different loan scenarios (20%, 25% down, etc.)
    8. Sensitivity Analysis - data-analyst - Show impact of vacancy, rent changes, interest rates
    9. Exit Scenarios - financial-analyst - Model 5-year, 10-year hold with appreciation
    10. Risk Assessment - risk-analyst - Identify market risk, tenant risk, interest rate risk
    11. Report - documentation-writer - Generate comprehensive deal analysis report
    12. Review - code-reviewer - Investor review before making offer
  • Tags: real-estate, rental-property, cash-flow, cap-rate, deal-analysis

32. due-diligence-checklist

  • Description: Automated due diligence workflow for real estate: inspections, title, appraisal, insurance, HOA.
  • Trigger: /start-due-diligence [property-id] or manual
  • Complexity: complex
  • Duration: 30m+
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: real-estate-analyst, compliance-specialist, project-manager
    • Commands: /create-checklist, /track-progress
  • Steps:
    1. Checklist Generation - project-manager - Create property-specific due diligence checklist
    2. Inspection Scheduling - real-estate-analyst - Schedule home, pest, roof inspections
    3. Title Search - compliance-specialist - Order title search, review for liens/encumbrances
    4. Appraisal Order - real-estate-analyst - Order appraisal, track status
    5. Insurance Quotes - real-estate-analyst - Get 3+ insurance quotes
    6. HOA Review - compliance-specialist - Review HOA docs, financials, rules
    7. Permit Check - compliance-specialist - Verify building permits for additions/renovations
    8. Inspection Review - real-estate-analyst - Analyze inspection reports, negotiate repairs
    9. Appraisal Review - financial-analyst - Verify appraisal supports purchase price
    10. Final Walkthrough - real-estate-analyst - Schedule and complete final walkthrough
    11. Closing Prep - compliance-specialist - Review closing disclosure, verify numbers
    12. Progress Dashboard - dashboard-builder - Update due diligence progress tracker
    13. Approval - code-reviewer - Investor approval to proceed to closing
  • Tags: due-diligence, real-estate, inspection, title, appraisal

33. financing-comparison

  • Description: Compare financing options: conventional, FHA, portfolio, DSCR, hard money, seller financing.
  • Trigger: /compare-financing [property-id] or manual
  • Complexity: moderate
  • Duration: 15-30m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: mortgage-specialist, financial-analyst, real-estate-analyst
    • Commands: /fetch-rates, /calculate-payment
  • Steps:
    1. Qualification Check - mortgage-specialist - Determine which loan types investor qualifies for
    2. Rate Shopping - mortgage-specialist - Get rate quotes for each loan type
    3. Payment Calculation - financial-analyst - Calculate PITI for each option
    4. Cash Requirement - financial-analyst - Calculate down payment, closing costs for each
    5. Cash Flow Impact - real-estate-analyst - Calculate net cash flow under each scenario
    6. Total Interest - financial-analyst - Calculate total interest paid over loan term
    7. Payoff Timeline - financial-analyst - Show loan balance reduction over time
    8. Refinance Strategy - mortgage-specialist - Plan for future refinance if applicable
    9. Tax Impact - tax-specialist - Calculate mortgage interest deduction benefit
    10. Recommendation - financial-analyst - Recommend optimal financing based on goals
    11. Report - documentation-writer - Generate financing comparison report
  • Tags: real-estate, financing, mortgage, loan-comparison, rates

34. property-management-automation

  • Description: Automate property management: rent collection, maintenance requests, expense tracking, tenant communication.
  • Trigger: /manage-properties or daily
  • Complexity: moderate
  • Duration: 5-15m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: property-manager, accounting-specialist, notification-specialist
    • Commands: /collect-rent, /track-expenses
  • Steps:
    1. Rent Collection - property-manager - Auto-charge rent via ACH on due date
    2. Late Notices - notification-specialist - Send automated late notices after grace period
    3. Maintenance Requests - property-manager - Route maintenance requests to vendors
    4. Work Order Tracking - project-manager - Track work order status and completion
    5. Expense Recording - accounting-specialist - Log all property expenses
    6. Income Recording - accounting-specialist - Log rent payments and other income
    7. Lease Tracking - property-manager - Alert on lease expirations 60 days out
    8. Inspection Scheduling - property-manager - Schedule quarterly property inspections
    9. Tenant Communication - notification-specialist - Send property updates, reminders
    10. Financial Reporting - financial-analyst - Generate monthly P&L per property
    11. Dashboard Update - dashboard-builder - Update property management dashboard
  • Tags: property-management, rent-collection, maintenance, accounting, automation

35. rental-market-analysis

  • Description: Analyze rental market: comparable rents, vacancy rates, demand trends, rental yield by neighborhood.
  • Trigger: /analyze-rental-market [location] or manual
  • Complexity: moderate
  • Duration: 15-30m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: market-analyst, real-estate-analyst, data-analyst
    • Commands: /fetch-comps, /analyze-trends
  • Steps:
    1. Market Selection - real-estate-analyst - Define target market (zip, neighborhood, city)
    2. Comp Collection - market-analyst - Fetch active rental listings in market
    3. Price Analysis - data-analyst - Calculate average, median rent by bed/bath count
    4. Days on Market - market-analyst - Analyze average time to rent
    5. Vacancy Rate - market-analyst - Calculate vacancy rate from listings
    6. Demand Indicators - market-analyst - Track listing views, applications, rent changes
    7. Seasonal Trends - data-analyst - Identify seasonal rental patterns
    8. Rental Yield - financial-analyst - Calculate gross rental yield (annual rent / price)
    9. Competition - market-analyst - Assess supply of rental units in market
    10. Growth Projection - market-analyst - Project rent growth over next 3-5 years
    11. Report - documentation-writer - Generate rental market analysis report
  • Tags: real-estate, rental-market, comps, vacancy-rate, rental-yield

36. 1031-exchange-planning

  • Description: Plan and execute 1031 exchange: identify replacement properties, track timelines, ensure compliance.
  • Trigger: /plan-1031-exchange [property-to-sell] or manual
  • Complexity: complex
  • Duration: 30m+
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: real-estate-analyst, tax-specialist, compliance-specialist
    • Commands: /find-replacement-properties, /track-deadlines
  • Steps:
    1. Eligibility Check - tax-specialist - Verify property qualifies for 1031 exchange
    2. QI Selection - compliance-specialist - Select and engage qualified intermediary
    3. Sale Preparation - real-estate-analyst - Prepare relinquished property for sale
    4. Replacement Search - real-estate-analyst - Identify potential replacement properties
    5. 45-Day Tracking - compliance-specialist - Track 45-day identification deadline
    6. Property Identification - real-estate-analyst - Formally identify up to 3 replacement properties
    7. Due Diligence - real-estate-analyst - Perform due diligence on replacement properties
    8. 180-Day Tracking - compliance-specialist - Track 180-day closing deadline
    9. Closing Coordination - real-estate-analyst - Coordinate simultaneous closings
    10. Documentation - compliance-specialist - Ensure all 1031 documentation is correct
    11. Tax Verification - tax-specialist - Verify exchange meets all IRS requirements
    12. Report - documentation-writer - Generate 1031 exchange summary for tax filing
  • Tags: real-estate, 1031-exchange, tax-deferral, compliance, like-kind

37. syndication-management

  • Description: Manage real estate syndication: investor relations, distributions, reporting, compliance, asset management.
  • Trigger: /manage-syndication [deal-name] or monthly
  • Complexity: complex
  • Duration: 30m+
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: syndication-manager, accounting-specialist, compliance-specialist
    • Commands: /calculate-distributions, /generate-k1s
  • Steps:
    1. Cash Flow Calculation - accounting-specialist - Calculate property net cash flow
    2. Distribution Calculation - financial-analyst - Calculate distributions per LLC operating agreement
    3. Waterfall Analysis - financial-analyst - Apply waterfall (preferred return, catch-up, promote)
    4. Distribution Processing - accounting-specialist - Process ACH distributions to investors
    5. Investor Reporting - documentation-writer - Generate quarterly investor reports
    6. Performance Tracking - financial-analyst - Track actual vs projected returns
    7. Tax Preparation - tax-specialist - Prepare K-1s for all investors
    8. Compliance Monitoring - compliance-specialist - Ensure SEC/state compliance (Reg D, Blue Sky)
    9. Asset Management - real-estate-analyst - Oversee property operations and value-add projects
    10. Investor Communication - notification-specialist - Send updates, answer investor questions
    11. Exit Planning - financial-analyst - Model exit timing and returns
    12. Annual Meeting - syndication-manager - Prepare materials for annual investor meeting
  • Tags: real-estate, syndication, investor-relations, distributions, k1

38. reit-analysis

  • Description: Analyze publicly-traded REITs: FFO, AFFO, dividend yield, NAV, sector exposure, quality metrics.
  • Trigger: /analyze-reit [ticker] or manual
  • Complexity: moderate
  • Duration: 15-30m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: reit-analyst, fundamental-analyst, financial-analyst
    • Commands: /fetch-reit-data, /calculate-metrics
  • Steps:
    1. Data Collection - data-analyst - Fetch financial statements, supplementals
    2. FFO Calculation - reit-analyst - Calculate Funds From Operations
    3. AFFO Calculation - reit-analyst - Calculate Adjusted FFO (normalize recurring capex)
    4. Dividend Analysis - financial-analyst - Calculate yield, payout ratio, dividend growth rate
    5. NAV Estimation - reit-analyst - Estimate Net Asset Value using cap rates
    6. Premium/Discount - financial-analyst - Calculate price vs NAV (discount/premium)
    7. Quality Metrics - reit-analyst - Analyze occupancy, lease terms, tenant quality
    8. Leverage Analysis - financial-analyst - Review debt-to-assets, interest coverage
    9. Sector Exposure - reit-analyst - Identify property sector (office, retail, industrial, etc.)
    10. Peer Comparison - reit-analyst - Compare vs peers on key metrics
    11. Valuation - fundamental-analyst - Determine if REIT is undervalued, fairly valued, overvalued
    12. Report - documentation-writer - Generate REIT analysis report
  • Tags: reit, ffo, affo, dividend, real-estate, nav

39. real-estate-market-research

  • Description: Comprehensive market research: population growth, job growth, supply/demand, price trends, best markets.
  • Trigger: /research-market [metro-area] or manual
  • Complexity: complex
  • Duration: 30m+
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: market-analyst, research-agent, data-analyst
    • Commands: /fetch-demographics, /analyze-trends
  • Steps:
    1. Market Definition - market-analyst - Define geographic market boundaries
    2. Demographics - research-agent - Fetch population, age, income, education data
    3. Economic Indicators - market-analyst - Review job growth, unemployment, GDP, industries
    4. Supply Analysis - real-estate-analyst - Analyze inventory levels, new construction, permits
    5. Demand Analysis - market-analyst - Review household formation, in-migration, rental demand
    6. Price Trends - data-analyst - Analyze home price and rent appreciation over 5, 10 years
    7. Affordability - financial-analyst - Calculate price-to-income, rent-to-income ratios
    8. Rental Yield - real-estate-analyst - Calculate market-wide rental yield
    9. Future Projections - market-analyst - Project 3-5 year outlook for prices and rents
    10. Risk Assessment - risk-analyst - Identify market-specific risks (natural disasters, economy)
    11. Neighborhood Scoring - market-analyst - Score neighborhoods for investment potential
    12. Report - documentation-writer - Generate comprehensive market research report
  • Tags: real-estate, market-research, demographics, supply-demand, trends

40. exit-planning-strategy

  • Description: Plan optimal exit strategy: timing, 1031 vs cash out, seller financing, rent-to-own, BRRRR refinance.
  • Trigger: /plan-exit [property-id] or manual
  • Complexity: moderate
  • Duration: 15-30m
  • QA Integration: validation: recommended, review: required
  • Dependencies:
    • Agents: real-estate-analyst, financial-analyst, tax-specialist
    • Commands: /calculate-exit-scenarios, /estimate-proceeds
  • Steps:
    1. Property Valuation - real-estate-analyst - Estimate current market value
    2. Equity Calculation - financial-analyst - Calculate current equity (value - loan balance)
    3. Sale Scenario - financial-analyst - Calculate net proceeds after costs, taxes
    4. 1031 Exchange - tax-specialist - Model tax deferral via 1031 exchange
    5. Seller Financing - real-estate-analyst - Model seller-financed sale (reduce taxes, earn interest)
    6. BRRRR Refinance - real-estate-analyst - Model cash-out refinance to access equity
    7. Hold & Rent - financial-analyst - Project continued cash flow and appreciation
    8. Tax Impact - tax-specialist - Calculate capital gains tax for each scenario
    9. ROI Comparison - financial-analyst - Compare IRR for each exit strategy
    10. Market Timing - market-analyst - Assess if current market favors selling
    11. Recommendation - real-estate-analyst - Recommend optimal exit strategy
    12. Report - documentation-writer - Generate exit strategy analysis report
  • Tags: real-estate, exit-strategy, 1031-exchange, seller-financing, brrrr

Alternative Investments

41. private-equity-tracking

  • Description: Track private equity investments: capital calls, distributions, valuations, IRR, multiples (MOIC, DPI, TVPI).
  • Trigger: /track-pe or quarterly
  • Complexity: moderate
  • Duration: 15-30m
  • QA Integration: validation: required, review: recommended
  • Dependencies:
    • Agents: pe-analyst, accounting-specialist, financial-analyst
    • Commands: /import-capital-calls, /calculate-irr
  • Steps:
    1. Investment Inventory - pe-analyst - List all PE funds and direct investments
    2. Capital Call Tracking - accounting-specialist - Record all capital calls and dates
    3. Distribution Tracking - accounting-specialist - Record all distributions (return of capital, gains)
    4. Valuation Updates - pe-analyst - Import quarterly NAV reports from GPs
    5. IRR Calculation - financial-analyst - Calculate net IRR since inception
    6. Multiple Calculation - financial-analyst - Calculate MOIC, DPI (distributed / paid-in), TVPI (total value / paid-in)
    7. J-Curve Analysis - pe-analyst - Visualize J-curve for each fund
    8. Vintage Year Analysis - pe-analyst - Compare performance by vintage year
    9. Diversification Review - risk-analyst - Analyze diversification by sector, stage, geography
    10. Future Commitments - pe-analyst - Track unfunded commitments and reserve cash
    11. Tax Reporting - tax-specialist - Prepare K-1 information for tax filing
    12. Report - documentation-writer - Generate PE portfolio performance report
  • Tags: private-equity, irr, moic, capital-calls, distributions

42. venture-portfolio-management

  • Description: Manage venture capital portfolio: follow-on decisions, pro-rata calculations, valuation tracking, exit monitoring.
  • Trigger: /manage-venture-portfolio or manual
  • Complexity: complex
  • Duration: 30m+
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: vc-analyst, financial-analyst, research-agent
    • Commands: /track-startups, /calculate-ownership
  • Steps:
    1. Portfolio Review - vc-analyst - List all portfolio companies and current status
    2. Valuation Tracking - vc-analyst - Update valuations from latest funding rounds
    3. Ownership Calculation - financial-analyst - Calculate ownership % after dilution
    4. Follow-On Analysis - vc-analyst - Analyze pro-rata rights for new rounds
    5. Reserve Allocation - financial-analyst - Model reserve allocation for follow-ons
    6. Performance Metrics - financial-analyst - Track revenue, burn rate, runway for each company
    7. Exit Monitoring - vc-analyst - Track acquisition interest, IPO readiness
    8. Mark-to-Market - financial-analyst - Mark portfolio to market using latest valuations
    9. Unrealized Returns - financial-analyst - Calculate unrealized MOIC and IRR
    10. Risk Assessment - risk-analyst - Flag companies at risk of down round or shutdown
    11. LP Reporting - documentation-writer - Prepare quarterly LP report
    12. Approval - code-reviewer - Investment committee review for follow-on decisions
  • Tags: venture-capital, startups, follow-on, pro-rata, portfolio

43. collectibles-management

  • Description: Track collectibles (art, watches, wine, cars): acquisition, authentication, valuation, insurance, selling.
  • Trigger: /manage-collectibles or manual
  • Complexity: moderate
  • Duration: 15-30m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: collectibles-specialist, appraisal-specialist, market-analyst
    • Commands: /catalog-items, /get-appraisal
  • Steps:
    1. Inventory Management - collectibles-specialist - Catalog all collectibles with photos, provenance
    2. Authentication - appraisal-specialist - Verify authenticity and condition
    3. Valuation - appraisal-specialist - Get professional appraisals for high-value items
    4. Market Research - market-analyst - Track auction results for comparable items
    5. Appreciation Tracking - financial-analyst - Track value appreciation over time
    6. Insurance Review - risk-analyst - Ensure adequate insurance coverage
    7. Storage Optimization - collectibles-specialist - Verify proper storage conditions
    8. Sale Opportunities - market-analyst - Identify optimal selling opportunities
    9. Tax Basis - tax-specialist - Track cost basis for capital gains calculation
    10. Estate Planning - compliance-specialist - Include in estate planning documentation
    11. Dashboard Update - dashboard-builder - Update collectibles portfolio dashboard
  • Tags: collectibles, art, valuation, authentication, insurance

44. commodity-tracking-futures

  • Description: Track commodity exposure via futures, ETFs, or physical: gold, silver, oil, agriculture, natural gas.
  • Trigger: /track-commodities or daily
  • Complexity: moderate
  • Duration: 5-15m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: commodity-analyst, market-analyst, financial-analyst
    • Commands: /fetch-prices, /monitor-rollover
  • Steps:
    1. Position Aggregation - commodity-analyst - List all commodity positions (futures, ETFs, physical)
    2. Price Updates - market-analyst - Fetch current spot and futures prices
    3. Mark-to-Market - financial-analyst - Calculate unrealized P&L for all positions
    4. Rollover Tracking - commodity-analyst - Monitor futures expiration and rollover costs
    5. Contango/Backwardation - commodity-analyst - Analyze futures curve for roll yield
    6. Storage Costs - commodity-analyst - Track storage costs for physical commodities
    7. Correlation Analysis - data-analyst - Analyze correlation with portfolio
    8. Inflation Hedge - financial-analyst - Assess effectiveness as inflation hedge
    9. Rebalancing - financial-analyst - Check if commodity allocation within target range
    10. Market Analysis - market-analyst - Review supply/demand fundamentals
    11. Report - documentation-writer - Generate commodities exposure report
  • Tags: commodities, futures, gold, oil, inflation-hedge, rollover

45. hedge-fund-analysis

  • Description: Analyze hedge fund investments: performance, risk metrics, liquidity, fees, manager due diligence.
  • Trigger: /analyze-hedge-fund [fund-name] or quarterly
  • Complexity: complex
  • Duration: 30m+
  • QA Integration: validation: required, review: recommended
  • Dependencies:
    • Agents: hedge-fund-analyst, risk-analyst, due-diligence-specialist
    • Commands: /import-statements, /calculate-metrics
  • Steps:
    1. Statement Import - accounting-specialist - Import quarterly fund statements
    2. Return Calculation - financial-analyst - Calculate absolute and risk-adjusted returns
    3. Benchmark Comparison - hedge-fund-analyst - Compare vs relevant hedge fund indices
    4. Risk Metrics - risk-analyst - Calculate volatility, max drawdown, Sharpe/Sortino ratios
    5. Correlation Analysis - data-analyst - Analyze correlation with public markets
    6. Fee Analysis - financial-analyst - Calculate total fees paid (2/20 model)
    7. Liquidity Terms - hedge-fund-analyst - Review redemption terms, gates, lockups
    8. Strategy Analysis - hedge-fund-analyst - Evaluate if fund executing stated strategy
    9. Manager Research - due-diligence-specialist - Review manager background, AUM changes
    10. Operational DD - compliance-specialist - Assess operational risks, administrator, auditor
    11. Attribution - hedge-fund-analyst - Attribute returns to market beta vs manager alpha
    12. Report - documentation-writer - Generate hedge fund analysis report
  • Tags: hedge-funds, alternative-investments, risk-adjusted-returns, due-diligence

46. crowdfunding-investment-tracking

  • Description: Track crowdfunding investments (real estate, startups): capital deployed, updates, valuations, exits.
  • Trigger: /track-crowdfunding or monthly
  • Complexity: simple
  • Duration: 5-15m
  • QA Integration: validation: recommended, review: none
  • Dependencies:
    • Agents: crowdfunding-analyst, financial-analyst, notification-specialist
    • Commands: /sync-platforms, /aggregate-holdings
  • Steps:
    1. Platform Sync - crowdfunding-analyst - Connect to all crowdfunding platforms (Fundrise, SeedInvest, etc.)
    2. Investment Aggregation - crowdfunding-analyst - List all active investments
    3. Update Collection - crowdfunding-analyst - Fetch latest project updates from platforms
    4. Valuation Tracking - financial-analyst - Update valuations based on platform marks
    5. Distribution Tracking - accounting-specialist - Record any distributions received
    6. Performance Calculation - financial-analyst - Calculate total return and IRR to date
    7. Exit Monitoring - crowdfunding-analyst - Track investments nearing exit/liquidity events
    8. Diversification Review - risk-analyst - Analyze diversification across platforms and asset types
    9. Tax Reporting - tax-specialist - Prepare K-1 or 1099 information
    10. Notification - notification-specialist - Alert on new updates or distributions
    11. Dashboard Update - dashboard-builder - Update crowdfunding investment dashboard
  • Tags: crowdfunding, real-estate-crowdfunding, startup-investing, distributions

47. angel-investing-deal-flow

  • Description: Manage angel investing deal flow: sourcing, screening, due diligence, portfolio construction, follow-ons.
  • Trigger: /manage-angel-deals or weekly
  • Complexity: complex
  • Duration: 30m+
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: angel-investor, due-diligence-specialist, financial-analyst
    • Commands: /screen-deals, /conduct-dd
  • Steps:
    1. Deal Sourcing - angel-investor - Aggregate deals from networks, platforms, referrals
    2. Initial Screening - angel-investor - Apply initial filters (stage, industry, geography)
    3. Pitch Deck Review - angel-investor - Review pitch decks for promising deals
    4. Founder Evaluation - due-diligence-specialist - Assess founder background and team
    5. Market Analysis - market-analyst - Evaluate market size, competition, timing
    6. Financial Review - financial-analyst - Review financials, burn rate, unit economics
    7. Term Sheet Analysis - angel-investor - Review valuation, terms, investor rights
    8. Reference Checks - due-diligence-specialist - Check founder references
    9. Portfolio Fit - angel-investor - Assess fit with portfolio strategy
    10. Investment Sizing - financial-analyst - Determine check size based on portfolio allocation
    11. Decision - code-reviewer - Investment committee or individual decision
    12. CRM Update - angel-investor - Update deal pipeline in CRM
  • Tags: angel-investing, startups, due-diligence, deal-flow, early-stage

48. startup-evaluation-framework

  • Description: Comprehensive startup evaluation: team, product, market, traction, financials, competitive positioning.
  • Trigger: /evaluate-startup [company-name] or manual
  • Complexity: complex
  • Duration: 30m+
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: startup-evaluator, market-analyst, technical-evaluator
    • Commands: /analyze-traction, /assess-market
  • Steps:
    1. Team Assessment - startup-evaluator - Evaluate founder backgrounds, domain expertise, completeness
    2. Product Review - technical-evaluator - Assess product maturity, differentiation, technical moat
    3. Market Sizing - market-analyst - Calculate TAM, SAM, SOM (top-down and bottom-up)
    4. Competitive Analysis - market-analyst - Map competitive landscape and positioning
    5. Traction Analysis - startup-evaluator - Review revenue, users, growth rate, engagement
    6. Unit Economics - financial-analyst - Calculate CAC, LTV, LTV/CAC ratio, payback period
    7. Burn Rate - financial-analyst - Analyze burn rate and runway
    8. Financial Projections - financial-analyst - Review projections for reasonableness
    9. Business Model - startup-evaluator - Assess scalability and defensibility
    10. Risk Assessment - risk-analyst - Identify key risks (market, execution, financing)
    11. Valuation - financial-analyst - Assess if valuation is reasonable for stage
    12. Scoring - startup-evaluator - Apply scoring framework and generate recommendation
    13. Report - documentation-writer - Create comprehensive evaluation report
  • Tags: startup-evaluation, venture-capital, due-diligence, traction, unit-economics

49. lp-reporting-automation

  • Description: Automated LP reporting for fund managers: performance, holdings, distributions, capital calls, compliance.
  • Trigger: /generate-lp-report or quarterly
  • Complexity: complex
  • Duration: 30m+
  • QA Integration: validation: required, review: required
  • Dependencies:
    • Agents: fund-administrator, accounting-specialist, compliance-specialist
    • Commands: /calculate-performance, /generate-k1s
  • Steps:
    1. Portfolio Snapshot - fund-administrator - Capture quarter-end portfolio holdings
    2. Performance Calculation - financial-analyst - Calculate net returns, IRR since inception
    3. Attribution Analysis - financial-analyst - Attribute returns to specific investments
    4. Holdings Report - fund-administrator - List all portfolio companies with valuations
    5. Transaction Summary - accounting-specialist - Summarize capital calls, distributions, management fees
    6. Unrealized Gains - financial-analyst - Mark-to-market all unrealized positions
    7. Realized Gains - accounting-specialist - Summarize realized gains/losses from exits
    8. Cash Position - accounting-specialist - Report cash balance and unfunded commitments
    9. Diversification Analysis - risk-analyst - Show portfolio breakdown by sector, stage, geography
    10. Compliance Attestation - compliance-specialist - Confirm compliance with fund documents
    11. Tax Preparation - tax-specialist - Prepare K-1s or foreign tax summaries
    12. Report Assembly - documentation-writer - Compile comprehensive quarterly LP report
    13. Distribution - notification-specialist - Securely distribute reports to LPs
  • Tags: lp-reporting, fund-administration, performance, k1, compliance

50. diversification-analysis-alternatives

  • Description: Analyze alternative investment diversification: correlation, concentration, liquidity profile, risk contribution.
  • Trigger: /analyze-alt-diversification or quarterly
  • Complexity: complex
  • Duration: 30m+
  • QA Integration: validation: required, review: recommended
  • Dependencies:
    • Agents: portfolio-manager, risk-analyst, financial-analyst
    • Commands: /calculate-correlations, /analyze-concentration
  • Steps:
    1. Portfolio Aggregation - portfolio-manager - Aggregate all alternative investments
    2. Asset Class Breakdown - financial-analyst - Categorize by asset class (PE, VC, RE, HF, collectibles, etc.)
    3. Correlation Analysis - risk-analyst - Calculate correlations between alternatives and public markets
    4. Concentration Check - risk-analyst - Identify concentration risks (single manager, sector, vintage)
    5. Liquidity Profile - risk-analyst - Classify by liquidity (liquid, quarterly, annual, illiquid)
    6. Liquidity Stress Test - risk-analyst - Model liquidity needs under stress scenarios
    7. Risk Contribution - risk-analyst - Calculate risk contribution of each alternative
    8. Public/Private Allocation - financial-analyst - Review overall public vs private allocation
    9. Geographic Diversification - portfolio-manager - Analyze geographic exposure
    10. Vintage Year Analysis - portfolio-manager - Ensure diversification across vintage years
    11. Rebalancing Needs - financial-analyst - Identify overweight/underweight allocations
    12. Recommendation - portfolio-manager - Recommend portfolio adjustments for better diversification
    13. Report - documentation-writer - Generate diversification analysis report
  • Tags: diversification, alternatives, correlation, concentration, liquidity

Appendix: Component Reference

Agent Types Used

  • financial-analyst
  • market-analyst
  • risk-analyst
  • data-analyst
  • technical-analyst
  • fundamental-analyst
  • tax-specialist
  • compliance-specialist
  • trade-executor
  • blockchain-analyst
  • defi-specialist
  • nft-analyst
  • staking-specialist
  • real-estate-analyst
  • mortgage-specialist
  • property-manager
  • reit-analyst
  • pe-analyst
  • vc-analyst
  • hedge-fund-analyst
  • startup-evaluator
  • portfolio-manager
  • notification-specialist
  • documentation-writer
  • qa-specialist
  • code-reviewer

Command Types Used

  • /analyze-portfolio
  • /track-dividends
  • /harvest-losses
  • /generate-performance-report
  • /assess-risk
  • /rebalance-portfolio
  • /compare-benchmarks
  • /analyze-fees
  • /project-retirement
  • /update-dashboard
  • /analyze-market
  • /execute-trade
  • /calculate-position-size
  • /manage-stops
  • /track-earnings
  • /screen-technicals
  • /screen-value
  • /update-journal
  • /update-risk-dashboard
  • /hedge-portfolio
  • /manage-wallets
  • /track-defi
  • /manage-nfts
  • /optimize-staking
  • /track-airdrops
  • /generate-crypto-taxes
  • /audit-security
  • /farm-yield
  • /rebalance-crypto
  • /setup-alerts
  • /analyze-deal
  • /start-due-diligence
  • /compare-financing
  • /manage-properties
  • /analyze-rental-market
  • /plan-1031-exchange
  • /manage-syndication
  • /analyze-reit
  • /research-market
  • /plan-exit
  • /track-pe
  • /manage-venture-portfolio
  • /manage-collectibles
  • /track-commodities
  • /analyze-hedge-fund
  • /track-crowdfunding
  • /manage-angel-deals
  • /evaluate-startup
  • /generate-lp-report
  • /analyze-alt-diversification

End of Document