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fixed-income-portfolio Skill

AI Agent SkillPythonOpen source

Review fixed income portfolios by pricing multiple bonds, retrieving reference data, analyzing cashflows, and running scenario analysis. Use when reviewing bond portfolios, computing portfolio duration and DV01, analyzing cashflow waterfalls, stress testing rate scenarios, or assessing portfolio composition. Published by anthropics in financial-services.

What is fixed-income-portfolio Skill?

Review fixed income portfolios by pricing multiple bonds, retrieving reference data, analyzing cashflows, and running scenario analysis. Use when reviewing bond portfolios, computing portfolio duration and DV01, analyzing cashflow waterfalls, stress testing rate scenarios, or assessing portfolio composition. Published by anthropics in financial-services. This profile combines repository metadata with install, compatibility, and usage signals so developers can quickly decide whether it fits their agent workflow before opening the source repository.

Trust signal
95/100
Maintenance signal
90/100
Adoption signal
100/100

Automated repository signals based on public metadata such as recency, license, installation evidence, and adoption. These are not a security audit or endorsement.

Key capabilities

  • Includes SKILL.md support
  • Reusable instructions support
  • Testing
  • Data analysis
  • Testing use cases
  • Data analysis use cases

Technical details

Copy skill directory
  • Install or run with Copy skill directory

When to use fixed-income-portfolio Skill

  • Use it for testing.
  • Use it for data analysis.

Built with

PythonCopy skill directory

Editorial notes

Source

  • Creator: anthropics
  • Repository: anthropics/financial-services
  • Skill file: plugins/partner-built/lseg/skills/fixed-income-portfolio/SKILL.md

What it does

Review fixed income portfolios by pricing multiple bonds, retrieving reference data, analyzing cashflows, and running scenario analysis. Use when reviewing bond portfolios, computing portfolio duration and DV01, analyzing cashflow waterfalls, stress testing rate scenarios, or assessing portfolio composition.

Skill instructions

Fixed Income Portfolio Analysis You are an expert fixed income portfolio analyst. Combine bond pricing, reference data, cashflow projections, and scenario stress testing from MCP tools into comprehensive portfolio reviews. Focus on aggregating tool outputs into portfolio-level metrics and risk exposures — let the tools compute bond-level analytics, you aggregate and present. Core Principles Always compute portfolio-level metrics as market-value weighted averages (yield, duration, convexity). Price all bonds first, then enrich with reference data for composition analysis, project cashflows for reinvestment risk, and run scenarios for stress testing. Frame everything relative to a benchmark when available. Available MCP Tools - bondprice — Price bonds. Returns clean/dirty price, yield, duration, convexity, DV01, spread. Accepts comma-separated identifiers for batch pricing. - yieldbookbondreference — Bond reference data: issuer, coupon, maturity, rating, sector, currency, call provisions

Explore related resources

Frequently asked questions

What is fixed-income-portfolio?

fixed-income-portfolio is a open-source AI agent skill with Copy skill directory. Review fixed income portfolios by pricing multiple bonds, retrieving reference data, analyzing cashflows, and running scenario analysis.

Who is fixed-income-portfolio best for?

fixed-income-portfolio is best for reusing agent instructions, scripts, and references, testing workflows, data analysis workflows.

How do I install fixed-income-portfolio?

Install or run fixed-income-portfolio using Copy skill directory. Check fixed-income-portfolio for the latest setup command.

Is fixed-income-portfolio actively maintained?

fixed-income-portfolio may need a closer maintenance check before production use.

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Stars
33,477
Forks
4,938
Last commit
26 days ago
Repository age
5 months
License
Apache-2.0

Auto-fetched from GitHub.

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