Stock Monitor Skill 0.1.0

全功能智能股票监控预警系统。支持成本百分比、均线金叉死叉、RSI超买超卖、成交量异动、跳空缺口、动态止盈等7大预警规则。符合中国投资者习惯(红涨绿跌)。

MIT-0 · Free to use, modify, and redistribute. No attribution required.
1 · 423 · 7 current installs · 8 all-time installs
MIT-0
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Purpose & Capability
Name/description (stock monitoring, seven rules) align with the included Python scripts: monitor.py, analyser.py, monitor_daemon.py implement data fetching, indicators, and alerts. No unrelated binaries or credentials are requested.
Instruction Scope
SKILL.md and README instruct running scripts/control.sh to start a background daemon and editing a config, which matches the code. Minor issues: README and SKILL.md reference copying/editing config.example.py and RULE_REVIEW_REPORT.md, but no config.example.py or RULE_REVIEW_REPORT.md appears in the manifest; notification delivery is mentioned generically ("message tool") but no concrete notifier or destination is provided. Test code also inserts an absolute user path (/home/wesley/...) which is environment-specific and likely stale.
Install Mechanism
No install spec (instruction-only style) and no downloaded archives or external installers. Scripts run with system python and standard requests usage; risk is limited to running the included code locally.
Credentials
No required environment variables, no declared credentials, and the code only calls public finance/news HTTP APIs (eastmoney, sina, etc.). No evidence of requests for unrelated secrets or config paths.
Persistence & Privilege
The control script launches a long‑running background daemon and creates $HOME/.stock_monitor logs and a PID file — expected for a monitor but worth noting because it runs continuously and writes to the user's home. always:false and no cross-skill config modification are present.
Assessment
This skill appears to be a legitimate stock-monitoring daemon that fetches public market/news data and sends alerts. Before installing or running it: 1) Inspect the code and confirm you’re comfortable running a background process that writes to $HOME/.stock_monitor and creates a PID file. 2) Note README/SKILL.md mention config.example.py and a RULE_REVIEW_REPORT.md that are not present — create or review a config file (and remove any hardcoded personal paths) before starting. 3) Search the code for any notification/send functions to see where alerts would be delivered (no notifier endpoint is clearly configured). 4) Run the test suite and code in an isolated environment or container first (the test suite contains an absolute path to /home/wesley that you should remove). 5) If you need network isolation, audit which external domains (eastmoney, sina, push2.eastmoney, etc.) the scripts contact and consider firewall or proxy rules. If you want, I can point to the exact lines that reference missing files, the hardcoded path in tests, and the notification placeholder so you can edit them prior to running.

Like a lobster shell, security has layers — review code before you run it.

Current versionv1.0.0
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License

MIT-0
Free to use, modify, and redistribute. No attribution required.

SKILL.md

Stock Monitor Pro - 全功能智能投顾系统

🎯 核心特色

1. 七大预警规则 (全都要!)

规则触发条件权重
成本百分比盈利+15% / 亏损-12%⭐⭐⭐
日内涨跌幅个股±4% / ETF±2% / 黄金±2.5%⭐⭐
成交量异动放量>2倍均量 / 缩量<0.5倍⭐⭐
均线金叉/死叉MA5上穿/下穿MA10⭐⭐⭐
RSI超买超卖RSI>70超买 / RSI<30超卖⭐⭐
跳空缺口向上/向下跳空>1%⭐⭐
动态止盈盈利10%+后回撤5%/10%⭐⭐⭐

2. 分级预警系统

  • 🚨 紧急级: 多条件共振 (如: 放量+均线金叉+突破成本)
  • ⚠️ 警告级: 2个条件触发 (如: RSI超卖+放量)
  • 📢 提醒级: 单一条件触发

3. 中国习惯

  • 🔴 红色 = 上涨 / 盈利
  • 🟢 绿色 = 下跌 / 亏损

📋 监控配置

完整预警规则示例

{
    "code": "600362",
    "name": "江西铜业",
    "type": "individual",  # 个股
    "market": "sh",
    "cost": 57.00,          # 持仓成本
    "alerts": {
        # 1. 成本百分比
        "cost_pct_above": 15.0,    # 盈利15%提醒 (¥65.55)
        "cost_pct_below": -12.0,   # 亏损12%提醒 (¥50.16)
        
        # 2. 日内涨跌幅 (个股±4%)
        "change_pct_above": 4.0,
        "change_pct_below": -4.0,
        
        # 3. 成交量异动
        "volume_surge": 2.0,       # 放量>2倍5日均量
        
        # 4-7. 技术指标 (默认开启)
        "ma_monitor": True,        # 均线金叉死叉
        "rsi_monitor": True,       # RSI超买超卖
        "gap_monitor": True,       # 跳空缺口
        "trailing_stop": True      # 动态止盈
    }
}

标的类型差异化

类型日内异动阈值成交量阈值适用标的
individual (个股)±4%2倍江西铜业、中国平安
etf (ETF)±2%1.8倍恒生医疗、创50等
gold (黄金)±2.5%伦敦金

🚀 运行方式

后台常驻进程

cd ~/workspace/skills/stock-monitor/scripts
./control.sh start    # 启动
./control.sh status   # 查看状态
./control.sh log      # 查看日志
./control.sh stop     # 停止

⚡ 智能频率 (北京时间)

时间段频率监控标的
交易时间 9:30-15:00每5分钟全部+技术指标
午休 11:30-13:00每10分钟全部
收盘后 15:00-24:00每30分钟全部 (日线数据)
凌晨 0:00-9:30每1小时仅伦敦金
周末每1小时仅伦敦金

🔔 预警消息示例

多条件共振 (紧急级)

🚨【紧急】🔴 江西铜业 (600362)
━━━━━━━━━━━━━━━━━━━━
💰 当前价格: ¥65.50 (+15.0%)
📊 持仓成本: ¥57.00 | 盈亏: 🔴+14.9%

🎯 触发预警 (3项):
  • 🎯 盈利 15% (目标价 ¥65.55)
  • 🌟 均线金叉 (MA5¥63.2上穿MA10¥62.8)
  • 📊 放量 2.5倍 (5日均量)

📊 江西铜业 深度分析
💰 价格异动:
• 当前: 65.5 (+15.0%)
• MA趋势: MA5>MA10>MA20 [多头排列]
• RSI: 68 [接近超买]

💡 Kimi建议:
🚀 多条件共振,趋势强劲,可考虑继续持有或分批减仓。

RSI超卖 (警告级)

⚠️【警告】🟢 恒生医疗 (159892)
━━━━━━━━━━━━━━━━━━━━
💰 当前价格: ¥0.72 (-10.0%)
📊 持仓成本: ¥0.80 | 盈亏: 🟢-10.0%

🎯 触发预警 (2项):
  • 📉 日内大跌 -10.0%
  • ❄️ RSI超卖 (28.5),可能反弹

💡 Kimi建议:
🔍 短期超跌严重,RSI进入超卖区,关注反弹机会但勿急于抄底。

动态止盈提醒

📢【提醒】🔴 中国平安 (601318)
━━━━━━━━━━━━━━━━━━━━
💰 当前价格: ¥70.50 (+6.8%)
📊 持仓成本: ¥66.00 | 盈亏: 🔴+6.8%

🎯 触发预警:
  • 📉 利润回撤 5.2%,建议减仓保护利润
  (最高盈利12%已回撤)

🛠️ 文件结构

stock-monitor/
├── SKILL.md                    # 本文档
├── RULE_REVIEW_REPORT.md       # 规则审核报告
└── scripts/
    ├── monitor.py              # 核心监控 (7大规则)
    ├── monitor_daemon.py       # 后台常驻进程
    ├── analyser.py             # 智能分析引擎
    └── control.sh              # 一键控制脚本

⚙️ 自定义配置

修改成本价

"cost": 55.50,  # 改成你的实际成本

调整预警阈值

"cost_pct_above": 20.0,     # 盈利20%提醒
"cost_pct_below": -15.0,    # 亏损15%提醒
"change_pct_above": 5.0,    # 日内异动±5%
"volume_surge": 3.0,        # 放量3倍提醒

开关技术指标

"ma_monitor": False,     # 关闭均线
"rsi_monitor": True,     # 开启RSI
"gap_monitor": True,     # 开启跳空

📝 更新日志

  • v3.0 全功能版: 完成7大预警规则 (成本/涨跌幅/成交量/均线/RSI/跳空/动态止盈)
  • v2.4 成本百分比版: 支持基于持仓成本的百分比预警
  • v2.3 中国版: 红涨绿跌颜色习惯
  • v2.2 常驻进程版: 后台常驻进程支持
  • v2.1 智能频率版: 智能频率控制
  • v2.0 Pro版: 新闻舆情分析

⚠️ 使用提示

  1. 技术指标有滞后性: 均线、MACD等都是滞后指标,用于确认趋势而非预测
  2. 避免过度交易: 预警只是参考,不要每个信号都操作
  3. 多条件共振更可靠: 单一指标容易假信号,多条件共振更准确
  4. 动态止盈要灵活: 回撤5%减仓、10%清仓是建议,根据市场灵活调整

核心原则:

预警系统目标是"不错过大机会,不犯大错误",不是"抓住每一个波动"。

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