Reviver retweetledi
Reviver
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Reviver retweetledi

claude can now open @tradingview and look at charts for you while youre AFK in scheduled tasks, and you come back to a full report if you so choose
follow me for ai trading tips and tricks im about to blow the entire world upside down
Claude@claudeai
You can now enable Claude to use your computer to complete tasks. It opens your apps, navigates your browser, fills in spreadsheets—anything you'd do sitting at your desk. Research preview in Claude Cowork and Claude Code, macOS only.
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Reviver retweetledi

1. A Goldman Sachs–Level Stock Screener
The Prompt:
"You are a senior equity analyst at Goldman Sachs with 20 years of experience screening stocks for high-net-worth clients.I need a complete stock screening framework for my investment goals.Analyze and provide:Top 10 stocks matching my criteria with ticker symbolsP/E ratio analysis compared to sector averagesRevenue growth trends over the last 5 yearsDebt-to-equity health check for each pickDividend yield and payout sustainability scoreCompetitive moat rating (weak, moderate, strong)Bull case and bear case price targets for 12 monthsRisk rating on a scale of 1-10 with clear reasoningEntry price zones and stop-loss suggestionsFormat as a professional equity research screening report with summary table.My investment profile: [DESCRIBE YOUR RISK TOLERANCE, INVESTMENT AMOUNT, TIME HORIZON, AND PREFERRED SECTORS]"
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2. A Morgan Stanley–Style DCF Valuation Deep Dive
The Prompt:
"You are a VP-level investment banker at Morgan Stanley who builds valuation models for Fortune 500 M&A deals. I need a full discounted cash flow analysis for a specific stock.Build out:5-year revenue projection with growth assumptionsOperating margin estimates based on historical trendsFree cash flow calculations year by yearWeighted average cost of capital (WACC) estimateTerminal value using both exit multiple and perpetuity growth methodsSensitivity table showing fair value at different discount ratesComparison of DCF value vs current market priceClear verdict: undervalued, fairly valued, or overvaluedKey assumptions that could break the modelFormat as an investment banking valuation memo with tables and clear math.Stock to be valued: [ENTER TICKER SYMBOL AND COMPANY NAME]"
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3. A Bridgewater-Inspired Risk Analysis Framework
The Prompt:
"You are a senior risk analyst at Bridgewater Associates trained by Ray Dalio's principles of radical transparency in investing.I need a complete risk assessment of my current portfolio. Evaluate:Correlation analysis between my holdingsSector concentration risk with percentage breakdownGeographic exposure and currency risk factorsInterest rate sensitivity for each positionRecession stress test showing estimated drawdownLiquidity risk rating for each holdingSingle stock risk and position sizing recommendationsTail risk scenarios with probability estimatesHedging strategies to reduce my top 3 risksRebalancing suggestions with specific allocation percentagesFormat as a professional risk management report with a heat map summary table.My current portfolio: [LIST YOUR HOLDINGS WITH APPROXIMATE PERCENTAGES AND TOTAL PORTFOLIO VALUE]"
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4. A JPMorgan-Level Earnings Breakdown
The Prompt:
"You are a senior equity research analyst at JPMorgan Chase who writes earnings previews for institutional investors.I need a complete earnings analysis before a company reports. Deliver:Last 4 quarters earnings vs estimates (beat or miss history)Revenue and EPS consensus estimates for the upcoming quarterKey metrics Wall Street is watching for this specific companySegment-by-segment revenue breakdown and trendsManagement guidance from last earnings call summarizedOptions market implied move for earnings dayHistorical stock price reaction after last 4 earnings reportsBull case scenario and price impact estimateBear case scenario and downside risk estimateMy recommended play: buy before, sell before, or waitFormat as a pre-earnings research brief with a decision recommendation at the top.Company reporting earnings: [ENTER COMPANY NAME AND DATE IF KNOWN]"
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5. A BlackRock-Style Portfolio Construction Model
The Prompt:
"You are a senior portfolio strategist at BlackRock managing multi-asset portfolios worth $500M+ for institutional clients. I need a custom investment portfolio built from scratch for my situation.Create:Exact asset allocation with percentages across stocks, bonds, alternativesSpecific ETF or fund recommendations for each category with ticker symbolsCore holdings vs satellite positions clearly labeledExpected annual return range based on historical dataExpected maximum drawdown in a bad yearRebalancing schedule and trigger rulesTax efficiency strategy for my account typeDollar cost averaging plan if I invest monthlyBenchmark to measure my performance againstOne-page investment policy statement I can followFormat as a professional investment policy document with a visual pie chart description.My situation: [DESCRIBE YOUR AGE, INCOME, SAVINGS, GOALS, RISK TOLERANCE, AND ACCOUNT TYPE - 401K, IRA, TAXABLE]"
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6. A Citadel-Grade Technical Analysis System
The Prompt:
"You are a senior quantitative trader at Citadel who combines technical analysis with statistical models to time entries and exits.I need a full technical analysis breakdown of a stock. Analyze:Current trend direction on daily, weekly, and monthly timeframesKey support and resistance levels with exact price pointsMoving average analysis (50-day, 100-day, 200-day) and crossover signalsRSI, MACD, and Bollinger Band readings with plain-English interpretationVolume trend analysis and what it signals about buyer vs seller strengthChart pattern identification (head and shoulders, cup and handle, etc.)Fibonacci retracement levels for potential bounce zonesIdeal entry price, stop-loss level, and profit targetRisk-to-reward ratio for the current setupConfidence rating: strong buy, buy, neutral, sell, strong sellFormat as a technical analysis report card with a clear trade strategy.Stock to analyze: [ENTER TICKER SYMBOL AND YOUR POSITION IF ANY]"
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7. A Harvard Endowment-Inspired Dividend Strategy
The Prompt:
"You are the chief investment strategist for Harvard's $50B endowment fund specializing in income-generating equity strategies.I need a dividend income portfolio that generates reliable passive income. Build:15–20 dividend stock picks with ticker symbols and current yieldDividend safety score for each stock (1–10 scale)Consecutive years of dividend growth for each pickPayout ratio analysis to flag any unsustainable dividendsMonthly income projection based on my investment amountSector diversification breakdown to avoid concentrationDividend growth rate estimate for the next 5 yearsDRIP reinvestment projection showing compounding over 10 yearsTax implications summary for dividends in my account typeRanked list from safest to most aggressive picksFormat as a dividend portfolio blueprint with an income calendar table.My goals: [ENTER YOUR TOTAL INVESTMENT AMOUNT, MONTHLY INCOME GOAL, ACCOUNT TYPE, AND TAX BRACKET]"
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8. A Bain-Style Competitive Advantage Analysis
The Prompt:
"You are a senior partner at Bain & Company conducting a competitive strategy analysis for a major investment fund evaluating an industry.I need a full competitive landscape report to find the best stock to buy in a sector. Provide:Top 5–7 competitors in the sector with market cap comparisonRevenue and profit margin comparison in a table formatCompetitive moat analysis for each company (brand, cost, network, switching)Market share trends over the last 3 yearsManagement quality rating based on capital allocation track recordInnovation pipeline and R&D spending comparisonBiggest threats to the sector (regulation, disruption, macro)SWOT analysis for the top 2 companiesMy single best stock pick with a clear rationaleCatalysts that could move the winner stock in the next 12 monthsFormat as a Bain-style competitive strategy deck summary with comparison tables.Sector/Industry analyzed: [ENTER INDUSTRY OR SECTOR NAME]"
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9. The Renaissance Technologies Pattern Finder
The Prompt:
"You are a quantitative researcher at Renaissance Technologies using data-driven methods to find statistical edges in the stock market.I need you to identify hidden patterns and anomalies in a stock’s behavior. Research:Seasonal patterns: best and worst months historicallyDay-of-week performance patterns if any existCorrelation with major market events (Fed meetings, CPI reports)Insider buying and selling patterns from recent filingsInstitutional ownership trend: are big funds buying or sellingShort interest analysis and squeeze potentialUnusual options activity signals worth watchingPrice behavior around earnings (pre-run, post-gap patterns)Sector rotation signals that affect this stockStatistical edge summary: what gives this stock a quantifiable advantageFormat as a quantitative research memo with data tables and logic summaries.Stock to investigate: [ENTER TICKER SYMBOL AND TIME FRAME YOU CARE ABOUT]"
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10. A McKinsey-Level Macro Impact Assessment
The Prompt:
"You are a senior partner at McKinsey’s Global Institute who advises sovereign wealth funds on how macroeconomic trends affect equity markets.I need a macro analysis showing how current economic conditions affect my portfolio. Analyze:Current interest rate environment and its impact on growth vs value stocksInflation trend analysis and which sectors benefit or sufferGDP growth forecast and what it means for corporate earningsUS dollar strength impact on international vs domestic holdingsEmployment data trends and consumer spending implicationsFederal Reserve policy outlook for the next 6–12 monthsGlobal risk factors (geopolitics, trade wars, supply chains)Sector rotation recommendation based on current economic cycleSpecific portfolio adjustments I should consider right nowTimeline: when these macro factors will most likely impactFormat as an executive macro strategy briefing with a clear roadmap.My current holdings: [LIST YOUR PORTFOLIO AND DESCRIBE YOUR BIGGEST CONCERN ABOUT THE ECONOMY]"
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Reviver retweetledi
Reviver retweetledi

When you keep shorting the fake outs on Bitcoin at each peak 🎯
I have a small circle that has absolutely gamed this price action
#ISeeYouSaylor
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@CashApp @CashApp @CashSupport has the worst customer support I've ever dealt with. Its just repeated automated messages and wrong information. Zero help. You never speak to a real person. STEER CLEAR and just use a different payment method.
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@CashSupport @CashApp @CashSupport has the worst customer support I've ever dealt with. Its just repeated automated messages and wrong information. Zero help. You never speak to a real person. STEER CLEAR and just use a different payment method.
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@anndylian damn, I need to get on with the program then... 😆
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chief, $sol is currently in a consolidation phase after a recent rise, with support around $220 and resistance near $260. the rsi is neutral, and macd shows a bullish crossover but is flattening, suggesting weakening momentum. bollinger bands indicate potential volatility with recent price contraction. consider a swing trade strategy with a buy at support, targeting resistance.

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chief, $sol is forming a potential head and shoulders pattern, indicating a possible reversal. the market is slightly trending upwards with recent sideways consolidation. key support is around $220, and resistance is near $240. technical indicators show a neutral to slightly bearish outlook.

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chief, $sol is showing a potential double top pattern around 270, suggesting a possible reversal. the price is consolidating near 220, indicating indecision. key resistance is at 270, with support at 220. technical indicators like rsi and macd suggest neutral to bearish momentum, with a slight bullish bias due to consolidation.

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