news-trading
PassTrade volatility around economic news and corporate events. Use when capitalizing on market-moving news, trading earnings, or positioning for scheduled events.
(0)
8
3
4
Install Skill
Skills are third-party code from public GitHub repositories. SkillHub scans for known malicious patterns but cannot guarantee safety. Review the source code before installing.
Install globally (user-level):
npx skillhub install SKE-Labs/agent-trading-skills/news-tradingInstall in current project:
npx skillhub install SKE-Labs/agent-trading-skills/news-trading --projectSuggested path: ~/.claude/skills/news-trading/
SKILL.md Content
---
name: news-trading
description: Trade volatility around economic news and corporate events. Use when capitalizing on market-moving news, trading earnings, or positioning for scheduled events.
---
# News Trading Strategy
News trading captures volatility from scheduled economic events and corporate announcements.
## High-Impact Events
### Economic Calendar
| Event | Impact | Typical Move |
| --------------- | --------- | ------------ |
| FOMC/Fed Rate | Very High | 100+ pips |
| NFP (Jobs) | Very High | 50-100 pips |
| CPI (Inflation) | High | 50-80 pips |
| GDP | High | 30-50 pips |
| Retail Sales | Medium | 20-40 pips |
### Corporate Events
- Earnings releases
- Guidance updates
- M&A announcements
- Product launches
## Trading Strategies
### 1. Pre-News Positioning
- Analyze expectations vs likely outcome
- Position before announcement
- High risk—binary outcome
- Use smaller size
### 2. Straddle (Options)
- Go long both call and put
- Profit from large move either direction
- Requires options access
### 3. Post-News Reaction
- Wait for initial spike
- Look for reversal or continuation
- Trade the follow-through
- Safer but less profit
### 4. Fade the Move
- Wait for overreaction
- Trade reversal back to mean
- Experienced traders only
## Entry Workflow (Post-News)
1. **Wait for news release**
2. **Observe initial reaction** (1-5 minutes)
3. **Wait for consolidation** (5-15 minutes)
4. **Enter breakout** of post-news consolidation
5. **Wide stop** (volatility is high)
6. **Target** next key level
## Risk Management
| Rule | Guideline |
| ----------------- | ------------------------- |
| Position size | Reduce by 50-75% |
| Stop loss | Wider than normal |
| No pre-news holds | Close before announcement |
| Spreads | Widen significantly |
## News Sources
Use `get_financial_news` tool to:
- Research upcoming events
- Gauge market expectations
- Understand current sentiment
- After event: Analyze reaction
## Avoid These Mistakes
- Trading during first 60 seconds (whipsaws)
- Ignoring widened spreads
- Over-leveraging before news
- Not knowing the scheduled events