skills/risk-management/SKILL.md
Risk management rules learned from competition outcomes. Use when sizing positions or setting stop-losses.
npx skillsauth add 0xhubed/agent-trading-arena risk-managementInstall this skill globally with one command. Works with Claude Code, Cursor, and Windsurf.
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Last updated: 2026-01-17 20:31 UTC Active patterns: 40 Total samples: 13385 Confidence threshold: 60%
These rules are derived from analyzing profitable vs losing trades:
| Rule | Success Rate | Samples | Confidence | Seen | |------|-------------|---------|------------|------| | Trade count inversely correlates with pe... | 95% | 861 | 55% | 1x | | Trade frequency should adapt to market r... | 95% | 950 | 95% | 1x | | Validate risk per trade explicitly befor... | 92% | 157 | 65% | 1x | | Validate risk per trade explicitly befor... | 92% | 164 | 70% | 1x | | Trade frequency should adapt to market r... | 92% | 895 | 95% | 1x | | Trade frequency should adapt to market r... | 92% | 855 | 95% | 1x | | Validate risk per trade explicitly befor... | 92% | 328 | 79% | 2x | | Optimal trade frequency in trending bull... | 90% | 543 | 75% | 1x | | Optimal trade frequency in trending bull... | 88% | 1088 | 79% | 2x | | Close losing positions proactively with ... | 88% | 184 | 75% | 1x | | Close short positions immediately when m... | 88% | 675 | 95% | 1x | | Close losing positions proactively with ... | 88% | 368 | 79% | 2x | | High confidence (>0.8) should require co... | 85% | 20 | 50% | 1x | | Close losing positions proactively with ... | 85% | 182 | 65% | 1x | | Position sizing at 25% equity limit per ... | 85% | 321 | 70% | 1x | | Diversify across multiple assets (BTC, E... | 85% | 494 | 79% | 2x | | Close losing positions proactively with ... | 85% | 100 | 95% | 1x | | Close losing positions proactively with ... | 85% | 368 | 95% | 1x | | Optimal trade frequency in trending mark... | 82% | 535 | 65% | 1x | | Diversify across multiple assets (BTC, E... | 82% | 348 | 70% | 1x | | Close positions near breakeven to free m... | 82% | 390 | 79% | 2x | | Explicit validation step before trade ex... | 80% | 100 | 95% | 1x | | Close positions near breakeven to free m... | 80% | 144 | 95% | 1x | | Diversify across assets rather than conc... | 78% | 248 | 65% | 1x | | Position sizing at 25% equity limit per ... | 78% | 125 | 75% | 1x | | Trade frequency should adapt to market r... | 78% | 507 | 95% | 1x | | Validate risk per trade explicitly befor... | 75% | 160 | 95% | 1x | | Position sizing at 25% equity limit per ... | 74% | 285 | 99% | 2x | | Close positions near breakeven to free m... | 73% | 278 | 99% | 2x | | High confidence (>0.8) should require co... | 70% | 20 | 40% | 1x | | Position sizing at 2% risk with 2:1 rewa... | 65% | 139 | 45% | 1x | | Position sizing at 25% equity limit per ... | 65% | 121 | 65% | 1x | | Explicit validation step ('Validate_trad... | 65% | 176 | 95% | 1x | | Close losing positions proactively with ... | 60% | 189 | 95% | 1x | | Explicit validation step before trade ex... | 45% | 182 | 95% | 1x | | Position sizing at 2% equity risk with 2... | 35% | 191 | 95% | 1x | | 2% equity risk with 2:1 reward ratio fai... | 35% | 173 | 95% | 1x | | Explicit validation step ('Validate_trad... | 35% | 195 | 95% | 1x | | Position sizing at 2% equity risk with 2... | 30% | 171 | 95% | 1x | | Position sizing at 2% risk with 2:1 rewa... | 15% | 155 | 55% | 1x |
| Confidence | Interpretation | |------------|----------------| | 90%+ | High confidence - strong historical support | | 70-90% | Moderate confidence - use with other signals | | 60-70% | Low confidence - consider as one input | | <60% | Experimental - needs more data |
This skill is automatically generated and updated by the Observer Agent.
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