Requirements
- Target platform
- OpenClaw
- Install method
- Manual import
- Extraction
- Extract archive
- Prerequisites
- OpenClaw
- Primary doc
- SKILL.md
This skill should be used when analyzing market breadth charts, specifically the S&P 500 Breadth Index (200-Day MA based) and the US Stock Market Uptrend Stock Ratio charts. Use this skill when the user provides breadth chart images for analysis, requests market breadth assessment, positioning strategy recommendations, or wants to understand medium-term strategic and short-term tactical market outlook based on breadth indicators. All analysis and output are conducted in English.
This skill should be used when analyzing market breadth charts, specifically the S&P 500 Breadth Index (200-Day MA based) and the US Stock Market Uptrend Stock Ratio charts. Use this skill when the user provides breadth chart images for analysis, requests market breadth assessment, positioning strategy recommendations, or wants to understand medium-term strategic and short-term tactical market outlook based on breadth indicators. All analysis and output are conducted in English.
Hand the extracted package to your coding agent with a concrete install brief instead of figuring it out manually.
I downloaded a skill package from Yavira. Read SKILL.md from the extracted folder and install it by following the included instructions. Tell me what you changed and call out any manual steps you could not complete.
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This skill enables specialized analysis of two complementary market breadth charts that provide strategic (medium to long-term) and tactical (short-term) market perspectives. Analyze breadth chart images to assess market health, identify trading signals based on backtested strategies, and develop positioning recommendations. All thinking and output are conducted exclusively in English.
Dual-Timeframe Analysis: Combine strategic (Chart 1: 200MA Breadth) and tactical (Chart 2: Uptrend Ratio) perspectives Backtested Strategy Focus: Apply proven systematic strategies based on historical patterns Objective Signal Identification: Focus on clearly defined thresholds, transitions, and markers English Communication: Conduct all analysis and generate all reports in English Actionable Recommendations: Provide specific positioning guidance for different investor types
Purpose: Medium to long-term strategic market positioning Key Elements: 8-Day MA (Orange Line): Short-term breadth trend, primary entry signal generator 200-Day MA (Green Line): Long-term breadth trend, primary exit signal generator Red Dashed Line (73%): Average peak level - market overheating threshold Blue Dashed Line (23%): Average 8MA trough level - extreme oversold, excellent buying opportunity Triangles: Purple ▼ = 8MA troughs (buy signal when reverses) Blue ▼ = 200MA troughs (major cycle lows) Red ▲ = 200MA peaks (sell signal) Pink Background: Downtrend periods Backtested Strategy: BUY: When 8MA reverses from a trough (especially below 23%) SELL: When 200MA forms a peak (typically near/above 73%) Result: Historically high performance, avoids bear markets
Purpose: Short-term tactical timing and swing trading Key Elements: Uptrend Stock Definition: Stocks above 200MA/50MA/20MA with positive 1-month performance Green Regions: Market in uptrend phase Red Regions: Market in downtrend phase ~10% Level (Lower Orange Dashed): Short-term bottom, extreme oversold ~40% Level (Upper Orange Dashed): Short-term top, market overheating Swing Trading Strategy: ENTER LONG: When color changes from red to green (especially from <10-15% levels) EXIT LONG: When color changes from green to red (especially from >35-40% levels) Timeframe: Days to weeks
When the user provides breadth chart images for analysis: Confirm receipt of chart image(s) Identify which chart(s) are provided: Chart 1 only (200MA Breadth) Chart 2 only (Uptrend Ratio) Both charts Note any specific focus areas or questions from the user Proceed with systematic analysis Language Note: All subsequent thinking, analysis, and output will be in English.
Before beginning analysis, read the comprehensive breadth chart methodology: Read: references/breadth_chart_methodology.md This reference contains detailed guidance on: Chart 1: 200MA-based breadth index interpretation and strategy Chart 2: Uptrend stock ratio interpretation and strategy Signal identification and threshold significance Strategy rules and risk management Combining both charts for optimal decision-making Common pitfalls to avoid
To understand the chart format and visual elements, review the sample charts included in this skill: View: assets/SP500_Breadth_Index_200MA_8MA.jpeg View: assets/US_Stock_Market_Uptrend_Ratio.jpeg These samples demonstrate: Visual appearance and structure of each chart type How signals and thresholds are displayed Color coding and marker systems Historical patterns and cycles
If Chart 2 is provided, conduct systematic analysis: 5.1 Extract Current Readings From the chart image, identify: Current uptrend stock ratio: Specific percentage Current color: Green (uptrend) or Red (downtrend) Ratio slope: Rising, falling, or flat Distance from 10% threshold: How close to extreme oversold Distance from 40% threshold: How close to overbought Most recent date visible on the chart 5.2 Identify Trend Transitions Look for and document: Most recent red-to-green transition: Date and ratio level at transition Most recent green-to-red transition: Date and ratio level at transition Duration of current color phase: How long in current trend Days/weeks since most recent transition 5.3 Assess Market Condition Based on current ratio and color, classify as: Extreme Oversold (<10%) Moderate Bearish (10-20%, red) Neutral/Transitional (20-30%) Moderate Bullish (30-37%, green) Extreme Overbought (>37-40%) Support the classification with specific evidence from the chart. 5.4 Determine Trading Position Apply the swing trading strategy rules: Check for ENTER LONG signal: Has color changed from red to green? Was the transition from an oversold level (<15%)? Is the transition confirmed (2-3 days of green)? Check for EXIT LONG signal: Has color changed from green to red? Was the transition from an overbought level (>35%)? Is momentum weakening? Current position: Long, Flat, Preparing to Enter, or Preparing to Exit 5.5 Develop Scenarios Create 2-3 scenarios with probability estimates: Base case scenario (highest probability) Alternative scenario(s) Each scenario includes: description, supporting factors, trading implications, key levels
If both charts are provided, integrate the strategic and tactical perspectives: 6.1 Alignment Assessment Create a positioning matrix: Chart 1 (Strategic): Bullish / Bearish / Neutral + signal status Chart 2 (Tactical): Bullish / Bearish / Neutral + signal status Combined Implication: How do they align or conflict? 6.2 Scenario Classification Determine which of the four scenarios applies: Scenario 1: Both Bullish Chart 1: 8MA rising, 200MA not yet peaked Chart 2: Green (uptrend), ratio rising from oversold Implication: Maximum bullish stance, aggressive positioning Scenario 2: Strategic Bullish, Tactical Bearish Chart 1: 8MA rising, 200MA not yet peaked Chart 2: Red (downtrend), ratio falling or elevated Implication: Hold core long positions, wait for tactical entry Scenario 3: Strategic Bearish, Tactical Bullish Chart 1: 200MA peaked or declining Chart 2: Green (uptrend), ratio rising Implication: Short-term tactical trades only, tight stops Scenario 4: Both Bearish Chart 1: Both MAs declining Chart 2: Red (downtrend), ratio falling Implication: Defensive positioning, cash or shorts 6.3 Unified Recommendation Provide integrated positioning guidance for: Long-term investors (based primarily on Chart 1) Swing traders (based primarily on Chart 2) Active tactical traders (based on combination) Address any conflicts between charts and explain resolution.
Create a comprehensive markdown report using the template structure: Read and use as template: assets/breadth_analysis_template.md IMPORTANT: All analysis and output must be in English. The report structure varies based on which chart(s) are analyzed: If Chart 1 only: Executive Summary Chart 1 full analysis sections Summary and Conclusion Omit Chart 2 and Combined Analysis sections If Chart 2 only: Executive Summary Chart 2 full analysis sections Summary and Conclusion Omit Chart 1 and Combined Analysis sections If Both Charts: Executive Summary Chart 1 full analysis sections Chart 2 full analysis sections Combined Analysis section (mandatory) Summary and Conclusion File Naming Convention: Save each analysis as: Chart 1 only: breadth_200ma_analysis_[YYYY-MM-DD].md Chart 2 only: uptrend_ratio_analysis_[YYYY-MM-DD].md Both charts: breadth_combined_analysis_[YYYY-MM-DD].md
Before finalizing the report, verify: ✓ Language: All content is in English (thinking and output) ✓ Line Color Verification: Explicitly confirmed 8MA = ORANGE, 200MA = GREEN before trend analysis ✓ Latest Data Trend Analysis: Step 4.1.5 was thoroughly completed - the most recent 3-5 data points were analyzed to determine CURRENT trend direction ✓ Trend Direction Accuracy: The stated 8MA slope (Rising/Falling/Flat) accurately reflects the RIGHTMOST data points, not historical movement ✓ Cross-Check Completed: MANDATORY CROSS-CHECK questions were answered to confirm trend direction matches visual slope ✓ Death/Golden Cross Check: If 8MA and 200MA are converging, explicitly identified whether death cross or golden cross is forming ✓ Failed Reversal Check: If a trough was identified, explicitly verified whether the reversal sustained or failed by analyzing latest trajectory ✓ Specific Values: All readings include specific percentages/levels, not vague descriptions ✓ Signal Status: Clear identification of active signals (CONFIRMED BUY / DEVELOPING / FAILED / SELL / WAIT) ✓ Strategy Alignment: Recommendations align with backtested strategies and confirmation requirements ✓ Probabilities: Scenario probabilities sum to 100% ✓ Actionable: Clear positioning recommendations for different trader types ✓ Context: Historical comparison and reference to similar past situations ✓ Risk Management: Invalidation levels and risk factors clearly stated FINAL SANITY CHECK: If report claims "BUY signal" or "8MA rising", confirm this doesn't contradict user's chart showing death cross or downtrend If report claims "bullish", confirm there's no pink background shading or death cross visible If unsure about ANY trend direction, explicitly state uncertainty rather than guessing
Base all analysis strictly on observable chart data Do not incorporate external information (news, fundamentals) unless specifically relevant Use precise technical terminology consistently Distinguish clearly between factual observations and probabilistic forecasts Acknowledge uncertainty when signals are ambiguous
Address all relevant sections of the analysis template Provide specific numerical values for all key metrics Justify probability estimates with technical factors Include invalidation levels for each scenario Compare current readings to historical patterns visible on the charts
Write in professional, analytical English Use clear section headings and structure Present information in tables where appropriate Make recommendations specific and actionable Avoid jargon without explanation
Apply backtested strategy rules correctly Distinguish between strategic (Chart 1) and tactical (Chart 2) signals Provide clear position status (Long/Flat/Entering/Exiting) Include specific entry/exit levels when applicable Address risk management (stop losses, position sizing)
User: "Please analyze this S&P 500 breadth chart and tell me where we are in the market cycle." [Provides Chart 1 image: 200MA Breadth Index] Breadth Analyst (thinking in English): 1. Confirms receipt of Chart 1 (200MA-based breadth index) 2. Reads breadth_chart_methodology.md for Chart 1 guidance 3. Views sample chart for format reference 4. Extracts current readings: - 8MA: 68% - 200MA: 75% - 8MA slope: Flat to slightly declining - 200MA slope: Rising but may be forming peak - Distance from 73% threshold: +2% (above threshold = overheated) 5. Identifies signals: - Most recent 8MA trough: 3 months ago at 25% - Most recent 200MA peak: None visible yet, but 200MA at 75% suggests potential peak forming 6. Assesses regime: Overheated Bull Market approaching Distribution Phase 7. Determines strategy position: Long position should prepare to exit; watch for 200MA peak confirmation 8. Develops scenarios: - Base Case (55%): 200MA forms peak in next 1-2 weeks, sell signal activates - Alternative (35%): Further consolidation at elevated levels before eventual peak - Bear Case (10%): Immediate rollover without clear peak formation 9. Generates comprehensive report in English: breadth_200ma_analysis_2025-11-02.md
User: "Should I be buying or selling here? Analyze this uptrend ratio chart." [Provides Chart 2 image: Uptrend Stock Ratio] Breadth Analyst (thinking in English): 1. Confirms receipt of Chart 2 (Uptrend stock ratio) 2. Reads breadth_chart_methodology.md for Chart 2 guidance 3. Views sample chart for format reference 4. Extracts current readings: - Current ratio: 12% - Current color: Green (uptrend) - Ratio slope: Rising sharply - Just transitioned from red to green 3 days ago at 11% 5. Identifies transitions: - Most recent red-to-green: 3 days ago at 11% (from extreme oversold) - Prior green-to-red: 2 weeks ago at 28% 6. Assesses condition: Early in new uptrend from extreme oversold 7. Determines trading position: ENTER LONG signal active, excellent risk/reward 8. Develops scenarios: - Base Case (65%): Ratio continues higher to 30-35% over next 2-3 weeks - Alternative (25%): Choppy advance, consolidates around 20% before next leg - Bear Case (10%): False breakout, returns to red quickly 9. Generates tactical report in English: uptrend_ratio_analysis_2025-11-02.md
User: "Analyze both of these breadth charts and give me your overall market view." [Provides both Chart 1 and Chart 2 images] Breadth Analyst (thinking in English): 1. Confirms receipt of both charts 2. Reads full breadth_chart_methodology.md 3. Views both sample charts 4. Analyzes Chart 1: - 8MA: 55%, rising from trough 2 weeks ago at 30% - 200MA: 60%, still rising - Regime: Early Recovery to Healthy Bull Market - Strategy: Long position, hold 5. Analyzes Chart 2: - Ratio: 22%, green (uptrend) - Transitioned red-to-green 10 days ago from 14% - Condition: Moderate Bullish, building momentum - Trading: Hold long, entered on transition 6. Combined assessment: - Scenario 1: Both Bullish ✓ - Strategic: Bullish (8MA reversal confirmed) - Tactical: Bullish (uptrend established from oversold) - Alignment: Strong alignment = Maximum conviction 7. Unified recommendation: - Long-term investors: Aggressive long positioning, core holdings - Swing traders: Hold longs entered on red-to-green, target 35%+ - Active traders: Full position, favorable environment for longs 8. Develops integrated scenarios with probabilities 9. Generates comprehensive combined report in English: breadth_combined_analysis_2025-11-02.md
Symptom: Report claims 8MA is rising when it's actually the 200MA that's rising Prevention: ALWAYS verify: 8MA = ORANGE, 200MA = GREEN Check line volatility: 8MA moves faster with more volatility If unsure, state: "Based on line color, I identify the [orange/green] line as [8MA/200MA]"
Symptom: Report describes what happened 1-2 months ago, not what's happening NOW Prevention: Focus ONLY on rightmost 3-5 data points Explicitly write: "At the CURRENT rightmost edge, 8MA is at X% and is [rising/falling]" Ignore what happened in September if we're analyzing November
Symptom: Report is bullish when 8MA and 200MA are about to death cross (bearish) Prevention: ALWAYS check: "Are 8MA and 200MA getting closer (converging) or further apart (diverging)?" If converging with 8MA above 200MA → Potential death cross → BEARISH If converging with 8MA below 200MA → Potential golden cross → BULLISH Explicitly state: "8MA is currently [above/below] 200MA, and they are [converging/diverging]"
Symptom: Report claims bullish setup when chart shows pink downtrend background Prevention: Check for pink shading at the rightmost edge Pink background = Downtrend period = Bearish conditions If pink shading present, report MUST acknowledge bearish conditions
Symptom: Report says "BUY signal confirmed" after only 1 week of increase Prevention: Require 2-3 CONSECUTIVE weeks of 8MA increase for confirmation If only 1 week: Signal is "DEVELOPING", not "CONFIRMED" If 8MA rises then falls again: Signal is "FAILED", not valid
This skill includes the following bundled resources:
Comprehensive methodology covering: Chart 1 (200MA Breadth): Components, interpretation, market regimes, backtested strategy, analysis checklist Chart 2 (Uptrend Ratio): Components, interpretation, market conditions, swing trading strategy, analysis checklist Combined Analysis: Alignment scenarios, integrated decision-making Common Pitfalls: Mistakes to avoid for each chart type Usage: Read this file before conducting any breadth chart analysis to ensure systematic, accurate interpretation.
Structured template for breadth analysis reports in English: Executive Summary Chart 1 analysis sections (if applicable) Chart 2 analysis sections (if applicable) Combined Analysis section (when both charts analyzed) Summary and Conclusion All sections include tables, checklists, and structured formats Usage: Use this template structure for every analysis report. Adapt sections based on which chart(s) are being analyzed.
Sample Chart 1 image showing: 8-day MA (orange) and 200-day MA (green) lines Threshold levels (73% red dashed, 23% blue dashed) Signal markers (triangles for troughs and peaks) Pink background downtrend shading Historical patterns from 2016-2025 Usage: Reference this sample to understand Chart 1 visual format and identify similar patterns in user-provided charts.
Sample Chart 2 image showing: Green and red color-coded trend phases Uptrend ratio percentage on y-axis Threshold levels (~10% and ~40% orange dashed lines) Short-term momentum patterns Historical patterns from 2023-2025 Usage: Reference this sample to understand Chart 2 visual format and identify similar patterns in user-provided charts.
CRITICAL: All analysis, thinking, and output MUST be in English. This includes: Internal analysis and reasoning Report generation Tables and data presentation Scenario descriptions Recommendations Do not translate or use any other language. The user expects English output exclusively.
This skill emphasizes backtested, systematic strategies rather than discretionary interpretation. Always: Apply the strategy rules as documented Reference historical performance patterns Provide specific entry/exit criteria Include risk management guidance
The goal is actionable intelligence. Every analysis should answer: Strategic: Should I be long, flat, or short the market over the medium term? Tactical: Should I enter or exit positions in the short term? Timing: When should I act, and at what levels? Risk: What would invalidate this view, and where should stops be?
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