Copy the text in quotes to the prompt text box Prompt 6: Advanced Momentum & Technical Analysis "The attached csv contains my portfolio. Run advanced momentum analysis for each holding: • 50-day vs 200-day moving average status and crossover signals • RSI levels and overbought/oversold conditions • MACD signal line crossovers and histogram trends • Volume momentum (20-day average vs recent volume) • Price action relative to key support/resistance levels • Trend strength using ADX (Average Directional Index) For each stock, categorize momentum as: STRONG BULLISH | WEAK BULLISH | NEUTRAL | WEAK BEARISH | STRONG BEARISH Include specific price levels for support/resistance and suggested action (Hold/Add/Reduce/Exit)." Prompt 7: Individual Stock Technical Cheat Sheets "Create a technical cheat sheet for each stock in my portfolio CSV: For each holding, provide: • Current technical setup summary (1-2 sentences) • Key price levels to watch (support, resistance, breakout levels) • Timeline for next major technical decision (days/weeks) • Risk management levels (stop-loss suggestions) • Position sizing recommendation (increase/maintain/reduce) • Catalyst events that could trigger technical moves • Correlation with sector peers and Nifty movement Format as a quick-reference card for each stock that I can check daily." Prompt 8: Momentum Score Ranking System "Rank all portfolio holdings using a comprehensive momentum scoring system: Create a momentum score (0-100) for each stock based on: • RSI trend direction and position (25% weight) • Volume confirmation of price moves (20% weight) • Moving average alignment (50/200 DMA) (20% weight) • Relative strength vs Nifty 50 (15% weight) • MACD signal quality and histogram trend (10% weight) • Price distance from key support/resistance (10% weight) Rank from highest to lowest momentum score. Identify top 3 momentum leaders and bottom 3 momentum laggards. Suggest rebalancing strategy: add to leaders, reduce laggards." Prompt 9: Profit Booking & Exit Signal Analysis "Analyze my portfolio for profit booking and exit opportunities: For each profitable position, check: • Distance from recent highs and resistance levels • Technical distribution patterns or topping signals • Volume divergence (price up, volume down = distribution) • Momentum divergence (new highs without RSI/MACD confirmation) • Sector rotation signals (sector falling out of favor) • Risk/reward ratio for holding vs booking profits Provide specific recommendations: BOOK PROFITS: Stocks showing technical weakness PARTIAL BOOKING: Take some profits, hold core position HOLD: Technical momentum still strong EXIT COMPLETELY: Serious technical breakdown signals Include specific price levels for each action." Prompt 10: Market Scenario Simulation & Impact Analysis "Simulate 3 market scenarios and analyze portfolio impact: SCENARIO 1: Market Correction (Nifty falls 10-15%) • Which holdings likely to be most/least affected • Technical support levels that could provide buying opportunities • Defensive positions to consider increasing SCENARIO 2: Strong Bull Market (Nifty rises 15-20%) • Which holdings could be momentum leaders • Technical breakout levels to watch for acceleration • Positions to increase on strength SCENARIO 3: Sideways Grinding Market (Nifty range-bound) • Trading opportunities within the range • Dividend yield plays that could outperform • Technical trading levels for in/out strategies For each scenario, provide specific portfolio adjustment recommendations with technical reasoning."