portfolio-management Purpose This skill enables the AI to manage investment portfolios using quantitative models, calculate risk metrics like Value at Risk (VaR), and apply optimization algorithms such as mean-variance optimization. It processes portfolio data to generate actionable insights, supporting decisions in finance by integrating with data sources and executing trades based on predefined strategies. When to Use Use this skill for tasks involving portfolio rebalancing, risk assessment, or performance analysis in financial contexts. Apply it when handling user queries about investment…