The selloff question most people ignore until it's too late. Paste your holdings with allocation %; Claude identifies which positions would all drop together (you're making the same bet multiple times), sector concentration risk, single-factor vulnerability per position, and exactly which 2 positions to cut to reduce risk without losing upside. Instructed to assume you're emotionally attached to all of them and tell you the truth anyway.
Discovered on Twitter via @JasonL_Capital