/portfolio-status 1. Load → risk calibration (defines how to read the field). 2. Follow the workflow and reference below. 3. Parse . Filter closed matters by default (include with ). 4. Produce rollup: risk distribution, deadlines in next 14/30/60 days, matters with no update in 30 days, materiality totals, stage distribution. 5. Flag anomalies — everything marked critical, overdue next deadline, matters without outside counsel assigned where risk is medium or high. --- Portfolio Status Purpose One read that answers: what do I own right now, what needs attention, and what's slipping? Output i…