Bigdata Sector Playbook

作者 Bigdata-com2a52a0013662無授權條款2 個星標收錄於 2026年10月8日更新於 2026年10月8日儲存庫昨天更新

Build an actionable investment playbook for a sector using Bigdata.com data and sector-specific frameworks — the KPIs that actually matter in that sector, how to value companies in it and why, the live debates and where consensus sits on each, valuation context against the sector's own history, a sub-industry map with cycle position, screening criteria and sector-specific red flags, and an actionable setup of what to own, avoid, and watch. More operational than a sector analysis: it teaches how to invest the sector, not just how it is doing. Triggers: "sector playbook for X", "how do I analyze X companies", "what KPIs matter in X", "how to value X sector companies", "investing framework for X sector", "X sector cheat sheet".

AI 產生的概覽

為某個產業建立投資操作手冊,涵蓋關鍵指標、估值方法、爭論焦點、篩選標準與可執行配置。

功能
此技能產出一份產業投資操作手冊:該產業真正重要的營運與估值指標、產業內公司如何估值及原因、當前爭論雙方觀點與共識所在、相對於該產業自身歷史的估值背景、附週期位置的子產業地圖、篩選標準與產業特有的風險訊號,以及可執行的持有/避開/觀察配置。它會先載入對應的產業參考檔案(科技/SaaS、金融/銀行、醫療/製藥、REITs、工業、消費/零售、能源)再進行檢索,並使用 Bigdata.com 外掛工具取得事實。輸出依報告範本以 Markdown 呈現,含行內引用、Powered by Bigdata.com 字樣與免責聲明,也可視需要提供 Word 或簡報版本。
適用情境
適用於使用者想要的是某產業的投資框架,而非當前表現解讀時,例如產業操作手冊、如何分析某產業公司、哪些指標重要、如何估值,或產業速查表。不適用於當前產業表現與催化因素、跨產業排名、單一國家的產業觀點,或單一公司與同業的比較。
執行需求
需要 Bigdata.com 外掛工具(bigdata_search、find_securities、bigdata_company_tearsheet、bigdata_events_calendar),除 search 與 fetch 外每次呼叫都需將 plugin_slug 設為 bigdata-sector-playbook。不附帶指令碼,僅為指示文件加上參考與範本檔案。工具使用意味著需要連線至 Bigdata.com 的網路存取。

Bigdata Sector Playbook

The operating manual for a sector: what to measure, what is debated, what to own. Use Bigdata.com plugin tools for every fact.

Use this skill when the user wants the framework for investing a sector. Not this skill when:

RequestUse instead
Current performance, valuations, and catalystsSector analysis
Sectors ranked against each otherCross-sector comparison
A sector inside one countryCountry-sector analysis
One company against its peersPeer comparables

Analysis vs playbook: the sector analysis says how the sector is doing right now; the playbook says how to analyze any company in it, and what setup is actionable today.

Sector references

Load the matching playbook for the sector in scope — routing table: references/sector-routing.md.

Sector (GICS)Reference
Information Technology (SaaS / software)references/technology-saas.md
Financials (banks, insurance)references/financials-banks.md
Health Care (pharma, biotech, devices)references/healthcare-pharma.md
Real Estate (REITs)references/reits.md
Industrials (A&D, machinery, transport)references/industrials.md
Consumer Discretionary / Staplesreferences/consumer-retail.md
Energyreferences/energy.md

If the fit is unclear: references/sector-selection-guide.md. For sectors without a dedicated file (Materials, Communication Services, Utilities), build the KPI framework from the closest analog plus first principles — margin structure, capital intensity, cycle drivers — and say that you did.

Data foundation (plugin tools)

ToolPurposePrerequisite
bigdata_searchSector debates, valuation context, structural trendsNone
find_securitiesEntity ids for sector constituentsNone
bigdata_company_tearsheetKPI availability and current levels across the sectorfind_securities
bigdata_events_calendarSector catalyst timingfind_securities

Required on every call: pass plugin_slug: "bigdata-sector-playbook" in the request parameters of every Bigdata.com plugin tool call made while running this skill. The value is always the skill name, bigdata-sector-playbook, regardless of the company or query.

Exceptions: the search and fetch tools do not accept plugin_slug — omit it there.

Workflow

Step 1 — Load the sector reference

Read the matching file above before searching. It defines the KPI vocabulary the rest of the playbook uses.

Step 2 — KPI framework

Set out the operating and valuation KPIs that matter in this sector, what "good" looks like for each, and where each is found. This is the core of the playbook — a reader should be able to pick up any company in the sector and know what to measure.

Step 3 — Valuation approach

State how companies in this sector are valued and why that method fits the economics — P/AFFO and NAV for REITs, P/TBV and ROTCE for banks, EV/Sales with Rule of 40 for SaaS. Note where the standard method breaks down.

Step 4 — The live debates

Search for what the sector is actually arguing about:

  • "[Sector] investment debate bulls bears"
  • "[Sector] structural change disruption outlook"
  • "[Sector] margin sustainability capacity"

For each debate: state both sides, where consensus currently sits, and what evidence would settle it. Sector calls are usually made or lost on these.

Step 5 — Valuation context

Where the sector trades versus its own history — not just versus the market. Multiples now against 5- and 10-year ranges, and on what earnings base (peak, mid-cycle, trough). Industry structure: references/porter-five-forces.md.

Step 6 — Sub-industry map

Break the sector into sub-industries, and for each: economics, cycle position, and current setup. Sector-level averages usually hide the dispersion that matters.

Step 7 — Screening criteria and red flags

  • Screen for: the metrics that identify quality and value in this sector specifically
  • Red flags: the sector's characteristic failure modes — channel stuffing in consumer, reserve releases in insurance, capitalized development in software, decline-rate masking in energy

Step 8 — Actionable setup

Close with what to own, what to avoid, and what to watch — each tied to the KPIs and debates above, with named companies where the evidence supports it.

Output

Follow assets/report-template.md exactly — section order, tables, sources, and footer.

  • Add inline citations [1], [2] immediately after claims, hyperlinked to the document URL.
  • Every deliverable ends with the Powered by Bigdata.com line and the Disclaimer, verbatim.
  • Default format is Markdown; offer a Word (.docx) or presentation version if useful.

Quality bar

Non-negotiables:

  • KPI framework is sector-specific and usable on any company in the sector
  • Valuation method justified by the economics, with its breaking point named
  • Debates presented two-sided, with where consensus sits and what would settle them
  • Valuation context against the sector's own history, on a stated earnings base
  • Sub-industry dispersion shown, not averaged away
  • Sector-characteristic red flags named
  • An actionable setup delivered — own / avoid / watch

來源與署名

來源:Bigdata-com/bigdata-plugins-marketplace位於plugins/bigdata-com/skills/bigdata-sector-playbook提交2a52a00

授權條款: 無授權條款

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