McDonut
Personal
mcdonut.fintango.ai
collect
All Healthy
combine
No Errors
Last run: 2m ago
context
Equities (US) + Options + Crypto + Predictions
connect
Streaming
6 Outputs
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98 Total Requests
Value
$2.45m
+2.1%
Datapoints
42.6m
−0.8%
Latency
0.66s
+2.1%
Accuracy
99.9%
+0.1%
Robinhood
Connected
$42,690
+$1,234
Coinbase
Connected
$8,420
+$420
Fidelity
Error
$156,000
−$2,100
Today
Good morning. Markets are gapping up on the PPI print — core came in at +0.2% vs +0.3% expected. Yields are pulling back.
Based on the headlines, should I trim some risk?
Show me my current allocation.
60%Stocks
Tech sits at ~42% — biggest overweight. Given the vol setup into earnings week, I'd rotate ~10% into defensives and reduce single-name concentration.
Sounds good. Draft the orders.
Drafting now — I'll queue them for your approval before the open and flag any headlines that change the thesis.
What's the cash impact if I execute all three trades?
Net proceeds land around $148K after estimated slippage. That brings cash to ~7.2% of NAV — within your target band of 5–10%.
Any earnings I should watch this week?
Set an alert if any of them gap more than 5% pre-market.