关于
This skill empowers Claude to perform deep-dive financial analysis by extracting data from income statements, balance sheets, and cash flow statements to calculate critical profitability, liquidity, and valuation ratios. It goes beyond simple math by providing industry-standard interpretations and trend analysis, making it an essential tool for investment research, corporate financial planning, and performance benchmarking. By supporting multiple input formats like CSV, JSON, and Excel, it streamlines the workflow for analysts looking to convert raw financial data into actionable investment insights.