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sec-cash-flow-review秒现金流审查

Agent Skill

sec-cash-flow-review 用于查找、检索和筛选相关信息,适合在 Codex、Claude、Cursor、Gemini CLI 中需要根据关键词、任务场景或来源线索快速定位候选结果时使用。可结合来源仓库、安装命令和原始 README 继续核验具体用法。安装前建议确认权限范围、维护状态,以及是否会触发联网、命令执行或文件读写。

总安装

1,557

周安装

63

GitHub Stars

37

下载量

489
CodexClaudeCursorGemini CLI

安装说明

本站只整理中文说明和来源信息,不托管安装包,也不代用户安装。

GitHub

来源数

2

许可证

unknown

最后核验

2026-05-01

来源状态

来源可访问

安装方式

通过对话安装

复制提示词发给支持本地命令或 Skills 的 AI 助手,先确认命令和权限,再让它执行。

请帮我安装这个 Agent Skill:sec-cash-flow-review(秒现金流审查)
来源仓库:https://github.com/octagonai/skills
仓库路径:skills/sec-cash-flow-review
安装命令:
npx skills add https://github.com/octagonai/skills --skill sec-cash-flow-review
安装前请先检查当前环境是否支持对应 CLI,并向我确认将要执行的命令、安装目录、联网范围和文件读写权限;确认后再执行。

命令行安装

复制命令到本机终端执行。该命令会通过 npx skills 从第三方来源获取 Skill;本站只展示命令,不托管安装包,也不自动执行。

skills.shnpx skills
npx skills add https://github.com/octagonai/skills --skill sec-cash-flow-review

简介

用于查找、检索和筛选相关信息。sec-cash-flow-review 属于研究检索类 Skill,可作为该场景下的辅助能力补充。

  • 适合根据关键词或任务场景快速定位候选结果。
  • 可结合来源仓库和安装命令继续核验具体用法。
  • 安装前建议确认权限范围和维护状态。
  • 注意是否会触发联网、命令执行或文件读写。

SKILL.md

SEC Cash Flow Review

Extract and analyze cash flow trends and working capital changes from SEC filings for public companies using the Octagon MCP server.

Prerequisites

Ensure Octagon MCP is configured in your AI agent (Cursor, Claude Desktop, Windsurf, etc.). See references/mcp-setup.md for installation instructions.

Workflow

1. Identify Analysis Parameters

Determine the following before querying:

  • Ticker: Stock symbol (e.g., AAPL, MSFT, GOOGL)
  • Filing Type (optional): 10-K (annual) or 10-Q (quarterly)
  • Focus Area (optional): Operating, investing, financing, working capital

2. Execute Query via Octagon MCP

Use the octagon-agent tool with a natural language prompt:

Extract and analyze cash flow trends and working capital changes from <TICKER>'s latest 10-Q.

MCP Call Format:

{
  "server": "octagon-mcp",
  "toolName": "octagon-agent",
  "arguments": {
    "prompt": "Extract and analyze cash flow trends and working capital changes from NFLX's latest 10-Q."
  }
}

3. Expected Output

The agent returns structured cash flow analysis including:

Cash Flow Trends:

  • Operating Cash Flow: Increased 37.87% YoY
  • Investing Cash Flow: -$2.08B (CapEx, investments)
  • Financing Cash Flow: Mixed ($1.04B inflow, -$2.18B outflow)

Working Capital Changes:

  • Change in Working Capital: -$456M
  • Cash and Equivalents: Decreased $1.193B in 6 months

Key Observations:

  • Operating cash flow growth outpaces investing/financing
  • Working capital contraction from content investments
  • Liquidity sufficient for 12+ months

Data Sources: octagon-financials-agent, octagon-sec-agent, octagon-web-search-agent

4. Interpret Results

See references/interpreting-results.md for guidance on:

  • Understanding cash flow components
  • Evaluating cash flow quality
  • Analyzing working capital trends
  • Assessing liquidity position

Example Queries

Full Cash Flow Analysis:

Extract and analyze cash flow trends and working capital changes from NFLX's latest 10-Q.

Free Cash Flow Focus:

Calculate and analyze free cash flow trends for AAPL over the last 4 quarters.

Working Capital Deep Dive:

Analyze working capital changes and cash conversion cycle for AMZN from the latest 10-K.

Liquidity Assessment:

Evaluate TSLA's liquidity position and cash runway from the latest quarterly filing.

CapEx Analysis:

Extract capital expenditure trends and investment priorities from GOOGL's cash flow statement.

Financing Activities:

Analyze debt repayments, share buybacks, and dividend payments from MSFT's latest 10-K cash flow.

Cash Flow Statement Components

Operating Activities

ComponentDescription
Net IncomeStarting point
Depreciation/AmortizationNon-cash add-back
Stock CompensationNon-cash expense
Deferred TaxesTiming differences
Working Capital ChangesCurrent asset/liability changes
Other AdjustmentsNon-cash items

Investing Activities

ComponentDescription
Capital ExpendituresProperty, equipment purchases
AcquisitionsBusiness combinations
Investment PurchasesSecurities bought
Investment SalesSecurities sold
Asset DispositionsProperty, equipment sales

Financing Activities

ComponentDescription
Debt IssuanceBorrowings
Debt RepaymentPrincipal payments
Share IssuanceStock offerings
Share RepurchasesBuybacks
DividendsShareholder distributions

Key Cash Flow Metrics

Profitability vs. Cash

MetricCalculationWhat It Shows
Operating Cash FlowFrom statementCash from operations
Free Cash FlowOCF - CapExCash after investment
FCF MarginFCF / RevenueCash generation rate
Cash ConversionOCF / Net IncomeEarnings quality

Liquidity Metrics

MetricCalculationWhat It Shows
Cash PositionCash + equivalentsAvailable liquidity
Cash RunwayCash / Monthly BurnMonths of runway
Quick Ratio(Cash + Receivables) / Current LiabilitiesShort-term coverage
Current RatioCurrent Assets / Current LiabilitiesWorking capital

Investment Metrics

MetricCalculationWhat It Shows
CapEx IntensityCapEx / RevenueInvestment level
CapEx / D&ACapEx / DepreciationMaintenance vs. growth
Acquisition SpendFrom investingM&A activity
Investment ReturnsSales / PurchasesPortfolio activity

Working Capital Analysis

Components

ComponentIncrease MeansDecrease Means
Accounts ReceivableCash usedCash provided
InventoryCash usedCash provided
Prepaid ExpensesCash usedCash provided
Accounts PayableCash providedCash used
Accrued LiabilitiesCash providedCash used
Deferred RevenueCash providedCash used

Cash Conversion Cycle

MetricCalculation
Days Sales Outstanding(AR / Revenue) × 365
Days Inventory Outstanding(Inventory / COGS) × 365
Days Payables Outstanding(AP / COGS) × 365
Cash Conversion CycleDSO + DIO - DPO

Working Capital Trends

TrendInterpretation
Declining CCCImproved efficiency
Rising CCCCash tied up longer
Negative CCCCustomer-funded model
Stable CCCConsistent operations

Cash Flow Quality Assessment

Quality Indicators

FactorHigh QualityLow Quality
OCF vs. Net IncomeOCF > NIOCF < NI
SustainabilityRecurring sourcesOne-time items
Working CapitalStable trendsErratic changes
Non-Cash ChargesReasonable D&AExcessive add-backs

Red Flags

  1. OCF < Net Income persistently - Earnings quality concern
  2. Negative FCF - Cash consumption
  3. Rising receivables - Collection issues
  4. Inventory buildup - Demand weakness
  5. Declining payables - Supplier pressure
  6. Heavy stock compensation - Dilution concern

Trend Analysis

Period-over-Period

MetricPrior PeriodCurrentChange
Operating CF
Investing CF
Financing CF
Free Cash Flow
Working Capital

Multi-Year Trends

Track over time:

  • OCF growth trajectory
  • FCF conversion rate
  • Working capital efficiency
  • CapEx patterns
  • Capital return trends

Liquidity Assessment

Cash Position Analysis

FactorAssessment
Absolute LevelAdequate for operations
TrendGrowing or declining
vs. ObligationsCoverage of debt, commitments
vs. InvestmentAbility to fund growth

Runway Calculation

ScenarioCalculation
ConservativeCash / Average Monthly Burn
Including Revolver(Cash + Available Credit) / Burn
StressCash / Peak Monthly Burn

Covenant Considerations

FactorWhat to Check
Debt/EBITDALeverage limits
Interest CoveragePayment ability
Minimum CashRequired balances
CapEx LimitsInvestment constraints

Financing Activity Analysis

Capital Structure Changes

ActivityImplication
Debt IssuanceLeverage increase
Debt RepaymentDeleveraging
Equity IssuanceDilution, capital raise
BuybacksReturn to shareholders
DividendsCash distribution

Capital Allocation Assessment

PriorityWhat It Signals
Heavy CapExGrowth investment
Heavy BuybacksMature, returning cash
Debt FocusDeleveraging priority
M&AExternal growth
BalancedDiversified approach

Analysis Tips

  1. Compare OCF to earnings: Divergence signals quality issues.
  2. Track FCF trends: More important than net income.
  3. Analyze working capital drivers: Understand component changes.
  4. Consider seasonality: Quarterly patterns affect cash flow.
  5. Read footnotes: Capital commitments disclosed there.
  6. Check management discussion: Cash flow commentary in MD&A.

Use Cases

  • Investment analysis: Assess cash generation quality
  • Credit analysis: Evaluate debt service capability
  • Valuation: FCF-based models
  • Liquidity monitoring: Track cash position
  • Working capital efficiency: Operational assessment

适合场景

01

用户想查找某类 Agent Skill 时

02

需要根据任务场景推荐可安装能力包时

03

需要对比不同来源的安装命令和来源信息时

能力概览

能力 1

按任务关键词查找相关 Skills

能力 2

展示可复制的安装命令

能力 3

保留来源站点、仓库和原始说明,方便继续核验

能力 4

展示第三方安全扫描或审计结果

安装后应在对应宿主中按原始 README 的触发条件使用;具体调用方式请以来源页面和 README 为准。

平台分布

Codex

32.05%
按下载量换算157

Claude

31.31%
按下载量换算153

Cursor

17.02%
按下载量换算83

Gemini CLI

9.87%
按下载量换算48

安全审计

Gen Agent Trust Hub

未通过

Socket

通过

Snyk

可疑

权限和风险

external-service

该 Skill 可能调用第三方服务、云服务或外部模型 API,使用前需要确认账号、额度、数据发送范围和服务条款。

安装前确认

本站仅展示第三方公开信息,不托管安装包,不提供自动安装或运行环境。安装前应自行审查源码、依赖和命令行为。来源安全扫描存在 warning/failed 结果,不能写成本站确认安全。当前只有一个来源,正式发布前建议补源仓库或其他目录站核验。

来源信息

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